id
stringlengths
2
8
url
stringlengths
31
207
title
stringlengths
1
135
text
stringlengths
78
383k
8569
https://en.wikipedia.org/wiki/Duke%20Nukem%203D
Duke Nukem 3D
Duke Nukem 3D is a first-person shooter video game developed by 3D Realms. It is a sequel to the platform games Duke Nukem and Duke Nukem II, published by 3D Realms. Duke Nukem 3D features the adventures of the titular Duke Nukem, voiced by Jon St. John, who fights against an alien invasion on Earth. Along with Wolfenstein 3D and Doom, Duke Nukem 3D is considered to be one of many titles responsible for popularizing first-person shooters, and was released to major acclaim. Reviewers praised the interactivity of the environments, gameplay, level design, and unique risqué humor, a mix of pop-culture satire and lampooning of over-the-top Hollywood action heroes. However, it also incited controversy due to its violence, erotic elements, and portrayal of women. The shareware version of the game was originally released on January 29, 1996, while the full version was released on April 19, 1996, as version 1.3d. The Plutonium PAK, an expansion pack which updated the game to version 1.4 and added a fourth eleven-level episode, was released in November 1996. The Atomic Edition, a standalone version of the game that included the content from the Plutonium PAK and updated the game to version 1.5, was later released; it is now only available on ZOOM-Platform.com. An official fifth episode was released on October 11, 2016, with 20th Anniversary World Tour published by Gearbox Software. After fifteen years in development hell, a direct sequel was released in 2011 called Duke Nukem Forever. Gameplay As a first-person shooter whose gameplay is similar to Doom, the gameplay of Duke Nukem 3D involves moving through levels presented from the protagonist's point of view, shooting enemies on the way. The environments in Duke Nukem 3D are highly destructible and interactive; most props can be destroyed by the player. Levels were designed in a fairly non-linear manner such that players can advantageously use air ducts, back doors, and sewers to avoid enemies or find hidden caches. These locations are also filled with objects the player can interact with. Some confer gameplay benefits to the player; light switches make it easier to see, while water fountains and broken fire hydrants provide some health points. Others are simply there as a diversion. IOtand tipping strippers provokes a quote from Duke, and a provocative reveal from the dancer. Duke's arsenal consists of the "Mighty Foot" (a basic kick attack), a pistol, a shotgun, a triple-barrelled chain gun, a rocket-propelled grenade launcher, pipe bombs, freeze and shrink rays, laser land mines, and the rapid-fire "Devastator" rocket launcher. There is also an extra weapon known as the "Expander", the opposite of the shrink-ray weapon, which is only available in the Atomic Edition version of the game. Various items can be picked up during gameplay. The portable medkit allows players to heal Duke at will. Steroids speed up Duke's movement, as well as instantly reversing the effects of the shrink-ray weapon and increasing the strength of Duke's Mighty Foot for a short period. Night vision goggles allow players to see enemies in the dark. The "HoloDuke" device projects a hologram of Duke, which can be used to distract enemies. Protective boots allow Duke to cross dangerously hot or toxic terrain. In sections where progress requires more aquatic legwork, an aqua-lung allows Duke to take longer trips underwater. Duke's jet pack allows the player to move vertically and gain access to otherwise inaccessible areas. The game features a wide variety of enemies; some of which are aliens and other mutated humans. The LAPD have been turned into "Pig Cops", a play on the derogatory term "pig" for police officers, with LARD emblazoned on their uniforms. As is usual for a first-person shooter, Duke Nukem encounters a large number of lesser foes, as well as bosses, usually at the end of episodes. Like Duke, these enemies have access to a wide range of weapons and equipment, and some weaker enemies have jet packs. Multiplayer Duke Nukem 3D features multiplayer. At the time of its release, Internet-based gaming was just beginning. Duke Nukem 3D did not support the TCP/IP client–server model, instead based its network play on the IPX LAN, modem or serial cable. Duke Nukem 3D players often either battled modem-to-modem, using the IPX network utility Kali or the Total Entertainment Network (TEN) online pay service. Kali allowed users to connect to a chat room to host and join games. Duke Nukem 3D was one of the more popular games on TEN prior to the closure of the network in 1999. The game was also supported by DWANGO. Duke Nukem 3D levels were often used as the battlegrounds for these encounters, and users were even able to create their own levels, or maps, using the level editor bundled with the game, which was also used by the developers to design the initial levels. The game also features co-operative play which allows players to complete the story-based mode together. In Duke Nukem 3D: Atomic Edition, a new gameplay mode was introduced: Duke-Tag, a "capture the flag" style mode. Duke Nukem 3D has been ported to run on modern Microsoft Windows variants including Windows XP, Windows 7, and Windows 8. This has been made possible since the game's source code was publicly released in 2003. Various source ports have been made, including EDuke32, JFDuke3D, nDuke, hDuke, and xDuke. All five offer the original visual appearance of the game, while EDuke32 also supports OpenGL rendering, including the capability to use fan-created modern graphics using the High Resolution Pack. nDuke, hDuke and xDuke can still be played online in multiplayer "DukeMatch" format using launchers such as Duke Matcher and YANG, both freely available. EDuke32 multiplayer is in a state of development hell following an attempt to rewrite the network functionality using a client–server model. Plot Setting Duke Nukem 3D is set on Earth "sometime in the early 21st century". The levels of Duke Nukem 3D take players outdoors and indoors through rendered street scenes, military bases, deserts, a flooded city, space stations, Moon bases, and a Japanese restaurant. The game contains several humorous references to pop culture. Some of Duke's lines are drawn from movies such as Aliens, Dirty Harry, Evil Dead II, Full Metal Jacket, Jaws, Pulp Fiction, and They Live; the captured women saying "Kill me" is a reference to Aliens. Players will encounter corpses of famous characters such as Luke Skywalker, Indiana Jones, Snake Plissken, the protagonist of Doom, and a smashed T-800. In the first episode, players navigate a tunnel in the wall of a prison cell hidden behind a poster, just like in The Shawshank Redemption. During the second episode, players can see The Monolith (from 2001: A Space Odyssey) on the Moon. Story There is little narrative in the game, only a brief text prelude located under "Help" in the Main Menu, and a few cutscenes after the completion of an episode. The game picks up right after the events of Duke Nukem II, with Duke returning to Earth in his space cruiser. As Duke descends on Los Angeles in hopes of taking a vacation, his ship is shot down by unknown hostiles. While sending a distress signal, Duke learns that aliens are attacking Los Angeles and have mutated the LAPD. With his vacation plans now ruined, Duke hits the "eject" button, and vows to do whatever it takes to stop the alien invasion. In "Episode One: L.A. Meltdown", Duke fights his way through a dystopian Los Angeles. At a strip club, he is captured by pig-cops, but escapes the alien-controlled penitentiary and tracks down the alien cruiser responsible for the invasion in the San Andreas Fault. Duke confronts and kills an Alien Battlelord in the final level. Duke discovers that the aliens were capturing women, and detonates the ship. Levels in this episode include a movie theater, a red-light district, a prison, and a nuclear-waste disposal facility. In "Episode Two: Lunar Apocalypse", Duke journeys to space, where he finds many of the captured women held in various incubators throughout space stations that had been conquered by the aliens. Duke reaches the alien mother ship on the moon and kills an alien Overlord. As Duke inspects the ship's computer, it is revealed that the plot to capture women was merely a ruse to distract him. The aliens have already begun their attack on Earth. In "Episode Three: Shrapnel City", Duke battles the massive alien presence through Los Angeles once again, and kills the leader of the alien menace: the Cycloid Emperor. The game ends as Duke promises that after some "R&R", he will be "...ready for more action!", as an anonymous woman calls him back to bed. Levels in this episode include a sushi bar, a movie set, a subway, and a hotel. The story continues in the Atomic Edition. In "Episode Four: The Birth", it is revealed that the aliens used a captured woman to give birth to the Alien Queen, a creature which can quickly spawn deadly alien protector drones. Duke is dispatched back to Los Angeles to fight hordes of aliens, including the protector drones. Eventually, Duke finds the lair of the Alien Queen, and kills her, thus thwarting the alien plot. Levels in this episode include a fast-food restaurant ("Duke Burger"), a supermarket, a Disneyland parody called "Babe Land", a police station, the oil tanker Exxon Valdez, and Area 51. With the release of 20th Anniversary World Tour, the story progresses further. In "Episode Five: Alien World Order", Duke finds out that the aliens initiated a world-scale invasion, so he sets out to repel their attack on various countries. Duke proceeds to clear out aliens from Amsterdam, Moscow, London, San Francisco, Paris, the Giza pyramid complex, and Rome, with the final showdown with the returning alien threat taking place in Los Angeles, taking the game full circle. There, he defeats the Cycloid Incinerator, the current alien leader, stopping their threat for good. Development Duke Nukem 3D was developed on a budget of roughly $300,000. The development team consisted of 8 people for most of the development cycle, increasing to 12 or 13 people near the end. At one point, the game was being programmed to allow the player to switch between first-person view, third-person view, and fixed camera angles. Scott Miller of 3D Realms recalled that "with Duke 3D, unlike every shooter that came before, we wanted to have sort of real life locations like a cinema theatre, you know, strip club, bookstores..." LameDuke is a beta version of Duke Nukem 3D, which was released by 3D Realms as a "bonus" one year after the release of the official version. It has been released as is, with no support. LameDuke features four episodes: Mr. Caliber, Mission Cockroach, Suck Hole, and Hard Landing. Certain weapons were altered from the original versions and/or removed. Lee Jackson's theme song "Grabbag" has elicited many covers and remixes over the years by both fans and professional musicians, including an officially sanctioned studio version by thrash metal band Megadeth. Another version of the song was recorded by Chris Kline in August 2005. 3D Realms featured it on the front page of their website and contracted with Kline to use it to promote their Xbox Live release of Duke Nukem 3D. The original official website was created by Jeffrey D. Erb and Mark Farish of Intersphere Communications Ltd. Release PC versions Shareware Version: The shareware version, released on January 29, 1996, contained only the first episode. This version uses 3D Realms's shareware distribution model, which means that it can be distributed for free. Full Version: 3D Realms started shipping the full registered version to customers on May 5, 1996. The company streamed the process of packing and shipping the first copies using a webcam. The full version contains the original three episodes, and includes the full versions of Duke Nukem and Duke Nukem II as bonus content. Plutonium PAK/Atomic Edition: The Atomic Edition of Duke Nukem 3D was released in November 1996 as a standalone game. It contained the original three episodes, as well as a new eleven-level fourth episode, bringing the level total to 41 as opposed to 30 in the original Duke Nukem 3D. The Plutonium PAK was released as an upgrade package to convert the original release of Duke Nukem 3D (v1.3d) to the Atomic Edition (v1.4, later updated to v1.5 with the standalone Atomic Edition release and via a free download patch for the Plutonium PAK version on 3D Realms' website). It introduced two new enemies, the Protector Drone and the Pig Cop Tank, a new final boss, the Alien Queen, and a new weapon, the Expander. Changes to the script made the game easier to mod, and players could set up a multiplayer session against CPU bots. This is the only official add-on for the game developed by 3D Realms. Unlike the original release of Duke Nukem 3D, however, the Atomic Edition does not include Duke Nukem and Duke Nukem II. Macintosh Version: The Macintosh release came on June 6, 1997, in Minneapolis, being shipped by MacSoft. East Meets West: Released in 1998, includes Duke Nukem 3D: Atomic Edition and the full version of Shadow Warrior. Duke: The Apocalypse contains Duke!ZONE II, Duke Xtreme, and a T-shirt. Duke: The Apocalypse 2 contains Duke!ZONE, Duke It Out In D.C., a strategy guide, and a T-shirt. Kill-A-Ton Collection: The Kill-A-Ton Collection was released in 1998 and includes: Duke Nukem I (Duke Nukum), Duke Nukem II, Duke Nukem 3D (both v1.3d and v1.5), Duke It Out In D.C., Duke!ZONE II, Duke Xtreme, and various editing utilities. GOG Version: The Atomic Edition was released on GOG.com along with Duke Nukem 1, 2 and Manhattan Project in 2009. The entire catalog was removed from the website on December 31, 2015, due to a licensing agreement with Gearbox Software. Megaton Edition: Developed by General Arcade and published by Devolver Digital, it was released through Steam on March 20, 2013. The Megaton Edition includes Duke Nukem 3D: Atomic Edition, Duke It Out In D.C., Duke Caribbean: Life's a Beach, and Duke: Nuclear Winter all running on OpenGL, as well as the original MS-DOS version of Duke Nukem 3D: Atomic Edition. It supports SteamPlay for Windows, Mac OS X, and Linux, and is based on the code of the JFDuke3D source port by Jonathon Fowler. Online multiplayer was added to the game in January 2014. However, about a year later, the Megaton Edition was removed from all digital distribution as Devolver Digital's agreement with Gearbox Software has ended now that the latter company currently owns the intellectual property. In 2016, Gearbox informed TechRaptor that they have plans to "bring the game back this year," and that game became the 20th Anniversary World Tour. Kill-a-Ton 2015 Collection: Released in May 2015 on Steam, includes everything that Kill-a-Ton Collection contained (with exception of Duke Nukem 3D v1.3D and Duke Xtreme), plus two other expansions, Duke Caribbean: Life's a Beach, and Duke: Nuclear Winter, as well as Duke Nukem: Manhattan Project and the Balls of Steel game. Like with the GOG.com release and Megaton Edition, it was removed from Steam at the end of 2015. 20th Anniversary World Tour: Developed by Nerve Software and Gearbox Software and published by Gearbox Publishing. It was announced by Gearbox Software on September 2, 2016, at PAX East, and it's a re-release for the Xbox One, PlayStation 4, and PC via Steam. World Tour includes an all-new 5th episode by the original episode designers, new music by composer Lee Jackson, re-recorded voice lines by Jon St. John, new enemies and new lighting effects. However, it does not contain the expansions from Kill-A-Ton Collection and Megaton Edition. World Tour was released on October 11, 2016. Expansion packs Nuke It: This is an expansion pack developed by Micro Star in 1996, consisting of 300 custom made levels. Although it was made with the Build Editor, Micro Star was charged by FormGen and 3D Realms of copyright infringement for unauthorized sales of the pack. Ultimately Micro Star lost their case. Duke It Out In D.C.: This is an authorized add-on developed by Sunstorm Interactive and published by WizardWorks; it was released in March 1997. President Bill Clinton is captured by alien forces, and Duke must save him. This expansion pack featured 10 new levels that were based on real-world locations, such as: the White House, the FBI headquarters, the Smithsonian museum, the Washington Monument, and other areas in Washington, D.C. The add-on was also included as part of an official compilation called Duke Nukem: Kill-A-Ton Collection through business deals with 3D Realms. Charlie Wiederhold created levels for this add-on. Duke Caribbean: Life's a Beach: This is an authorized add-on developed by Sunstorm Interactive and published by WizardWorks; it was released in January 1998. Duke is relaxing on a tropical island when he discovers that the aliens are having their own "vacation". This add-on includes a sunny Caribbean theme with 12 new levels that take place on beaches and vacation hotels. Charlie Wiederhold created several levels for this add-on. Wiederhold was later hired by 3D Realms to work on the sequel Duke Nukem Forever. Duke: Nuclear Winter: This is an authorized add-on developed by Simply Silly Software and published by WizardWorks; it was released in January 1998. Santa Claus is being mind-controlled by aliens into causing trouble on Earth. Several of the levels take place in Alaska and the North Pole. Duke!ZONE: An authorized add-on released in 1996, published by WizardWorks, which includes 500 fan-made levels and various editing utilities. Duke!ZONE II: An authorized follow-up add-on to Duke!ZONE, published by WizardWorks and released in 1997. Duke!ZONE II contains three new episodes, each containing seven levels, created by Simply Silly Software and the same 500 fan-made levels from the original Duke!ZONE. Duke Xtreme: An authorized add-on released in 1997 and developed by Sunstorm Interactive, containing 50 levels (25 for single player and 25 for multiplayer) and various editing utilities. Duke Assault: An add-on released in 1997 containing over 1,500 levels for Duke Nukem 3D. It was published by WizardWorks and created by fans in the Duke Nukem 3D modding community. Duke Nukem's Penthouse Paradise: This is an official add-on for Duke Nukem 3D, created by Jeffrey D. Erb and Mark Farish of Intersphere Communications Ltd. and available exclusively from GT Interactive and Penthouse Magazine in May 1997. Taking place between Duke Nukem 3D and the Atomic Edition, aliens interrupt Duke's R&R and a couple of Penthouse photo shoots. Duke has to fight his way through a hotel, clubs, and, finally, the Penthouse offices. The level features music from the industrial rock band Needle. Duke - It's Zero Hour: An add-on developed by ZeroHour Software and released in November 1997. It was originally slated to be a retail product via WizardWorks, but the developers ended up releasing it for free. It has 11 new levels that feature 12 all-new monsters, five new weapons, music, and sound effects. Console versions and add-ons Duke Nukem 3D was ported to many consoles of the time. All of the ports featured some sort of new content. Duke Nukem 3D (Game.com) was released in 1997 in the USA only. Unlike every other version of the game, Duke Nukem cannot turn; he can only move forward, backward, and strafe to the left or right. Due to the Game.com's monochrome screen, it is also the only version to lack color. It only includes four levels from each of the original three episodes for a total of 12 levels. These levels were modified to accommodate Duke Nukem's inability to turn. Duke Nukem 3D (Sega Saturn) was ported by Lobotomy Software and published by Sega in 1997. It retains the original name and uses Lobotomy Software's own fully 3D SlaveDriver engine. This version uses the Sega NetLink for online gaming, and has built-in support for the Saturn's analog pad. It also includes a hidden multiplayer mini-game called Death Tank Zwei, and an exclusive bonus level called Urea 51, accessed through the level "Fahrenheit". It was the final game branded by Sega of America under the Deep Water label, employed for games featuring adult content such as Eternal Champions: Challenge from the Dark Side. Duke Nukem: Total Meltdown (titled simply Duke Nukem in Europe), the PlayStation port released in 1997, was developed by Aardvark Software. It contains all three original episodes, plus an exclusive fourth episode, Plug 'n' Pray, which includes six new levels and a secret level. The secret level was also included in the PC version of Duke Nukem 3D. The new episode features several new enemies, including three new types of Pig Cops, and a new final boss, the CyberKeef. This version also features remixed music, some rearranged from the PC version, and some original, in streaming XA-Audio made by Mark Knight. It includes support for analog pads and the PlayStation Link Cable. Duke Nukem 64 is a port released in 1997 for the Nintendo 64 which features a split screen 4-player mode. It was developed by Eurocom. In-game music was removed due to limited storage capacity, many items were renamed to avoid drug and sex references, and new lines of dialogue were recorded specifically for this version to remove profanity. Several levels were altered to include areas from the Atomic Edition, such as a Duke Burger outlet in the second level which was not in the original PC version. Levels are played sequentially instead of as separate episodes. Other changes include the addition of Rumble Pak support, four new weapons, dual sub-machine guns, a grenade launcher, a missile launcher, and the Plasma Cannon, alternative ammo types for the pistol, shotgun, and missile launcher, and a fully 3D model for the Cycloid Emperor boss. The Protector Drone, an enemy from the Atomic Edition, also appears a few times in the standard levels. Originally, the weapons and end bosses were going to be polygonal. Duke Nukem 3D (Mega Drive/Genesis) was released in 1998 by Tec Toy. The visuals were drastically simplified, being closer to early shooters like Wolfenstein 3D. It consisted solely of Lunar Apocalypse, the second from the original game's three episodes, which was heavily modified to suit the game engine. This version was released in South America only. In 2015, Piko Interactive acquired the rights to the port from Tec Toy and released it worldwide in cartridge form on October 16, 2015. Duke Nukem 3D (Xbox 360) was released on September 24, 2008. This version features: the ability to "rewind" the game to any prior point upon dying, save clips of gameplay, and play cooperatively online, as well as the standard "Dukematch" online multiplayer mode. The music received a slight quality upgrade with modern MIDI tools. Duke Nukem 3D (iPhone/iPod Touch) was released on August 11, 2009, and ported by MachineWorks Northwest. The game employs a new engine, which uses a trademarked touch-screen system called TapShoot to allow players to lock onto and dispatch foes. An update in September 2009 made the game compatible with the first and second-generation iPod Touch. It also added a new control scheme which lets players control Duke by dragging their finger around the screen. Duke Nukem 3D (Nokia N900) was released on December 29, 2009. As shown in a MaemoWorld's video, Duke is controlled using the Qwerty keypad and touchscreen. Duke Nukem 3D: Megaton Edition (PlayStation 3, PlayStation Vita) was released on January 6, 2015, in North America, and January 7, 2015, in Europe. It is a port of the Megaton Edition released on Steam for Windows, Mac, and Linux. It was developed by General Arcade for the PC, ported to consoles by Abstraction Games, and published by Devolver Digital. It features cross-buy and Cross-Play between both platforms. As of February 2016, the game is no longer available for download in North America due to publishing rights returning to Gearbox Software. Duke Nukem 3D: 20th Anniversary World Tour (PlayStation 4, Xbox One, Nintendo Switch): Released on October 11, 2016. Includes a new 5th episode, made by the original designers and new music by Lee Jackson, the original composer. The Nintendo Switch version released on June 23, 2020. Sales Duke Nukem 3D was a commercial hit, selling about 3.5 million copies. In the United States alone, it was the 12th best-selling computer game in the period from 1993 to 1999, with 950,000 units sold. NPD Techworld, a firm that tracked sales in the United States, reported 1.25 million units sold of Duke Nukem 3D by December 2002. Source ports Following the release of the Doom source code in 1997, players wanted a similar source code release from 3D Realms. The last major game to make use of the Duke Nukem 3D source code was TNT Team's World War II GI in 1999. Its programmer, Matthew Saettler, obtained permission from 3D Realms to expand the gameplay enhancements done on WWII GI to Duke Nukem 3D. EDuke was a semi-official branch of Duke Nukem 3D that was released as a patch as Duke Nukem 3D v2.0 for Atomic Edition users on July 28, 2000. It included a demo mod made by several beta testers. It focused primarily on enhancing the CON scripting language in ways which allowed those modifying the game to do much more with the system than originally possible. Though a further version was planned, it never made it out of beta. It was eventually cancelled due to programmer time constraints. About a month after the release of the Duke Nukem 3D source code, Blood project manager Matt Saettler released the source code for both EDuke v2.0 and EDuke v2.1, the test version of which would have eventually become the next EDuke release, under the GPL. The source code to the Duke Nukem 3D v1.5 executable, which uses the Build engine, was released as free software under the GPL-2.0-or-later license on April 1, 2003. The game content remains under a proprietary license. The game was quickly ported by enthusiasts to modern operating systems. The first Duke Nukem 3D port was from icculus.org. It is a cross-platform project that allows the game to be played on AmigaOS, AmigaOS 4, AROS, BeOS, FreeBSD, Linux, Mac OS X, MorphOS, Solaris, and Windows rather than MS-DOS. The icculus.org codebase would later be used as the base for several other ports, including Duke3d_32. Another popular early project was Jonathon Fowler's JFDuke3D, which, in December 2003, received backing from the original author of Build, programmer Ken Silverman. Fowler, in cooperation with Silverman, released a new version of JFDuke3D using Polymost, an OpenGL-enhanced renderer for Build which allows hardware acceleration and 3D model support along with 32-bit color high resolution textures. Another project based on JFDuke3D called xDuke, unrelated to the xDuke project based on Duke3d_w32, runs on the Xbox. Silverman has since helped Fowler with a large portion of other engine work, including updating the network code, and helping to maintain various other aspects of the engine. Development appears to have stopped; as of January 2015, there have been no new versions since October 9, 2005. While a few short-lived DOS-based EDuke projects emerged, it was not until the release of EDuke32, an extended version of Duke3D incorporating variants of both Fowler's Microsoft Windows JFDuke3D code, and Saettler's EDuke code, by one of 3D Realms' forum moderators in late 2004, that EDuke's scripting extensions received community focus. Among the various enhancements, support for advanced shader model 3.0 based graphics was added to EDuke32 during late 2008-early 2009. In June 2008, thanks to significant porting contributions from the DOSBox team, EDuke32 became the only Duke Nukem 3D source port to compile and run natively on 64-bit Linux systems without the use of a 32-bit compatibility environment. On April 1, 2009, an OpenGL Shader Model 3.0 renderer was revealed to have been developed for EDuke32, named Polymer to distinguish from Ken Silverman's Polymost. It allows for much more modern effects such as dynamic lighting and normal mapping. Although Polymer is fully functional, it is technically incomplete and unoptimized, and is still in development. As of the fifth installment of the High Resolution Pack, released in 2011, the Polymer renderer is mandatory. In 2011, another significant development of EDuke32 was the introduction of true room over room (TROR), where sectors can be placed over other sectors, and can be seen at the same time. In practice, this allows for true three-dimensional level design that was previously impossible, although the base engine is still 2D. On December 18, 2012, Chocolate Duke3D port was released. Inspired by Chocolate Doom, the primary goal was to refactor the code so developers would easily read and learn from it. In February 2013, a source code review article was published that described the internal working of the code. Reception All versions of the game have earned a positive aggregate score on GameRankings and Metacritic. The original release on MS-DOS holds an aggregate score of 89% on GameRankings and a score of 89/100 on Metacritic. The version released on Nintendo 64 holds an aggregate score of 74% on GameRankings and a score of 73/100 on Metacritic. The version released on Xbox 360 holds an aggregate score of 81% on GameRankings while it holds a score of 80/100 on Metacritic. The iOS version holds an aggregate score of 64% on GameRankings. Daniel Jevons of Maximum gave it five out of five stars, calling it "absolutely perfect in every respect". He particularly cited the game's speed and fluidity even on low-end PCs, imaginative weapons, varied and identifiable environments, true 3D level designs, and strong multiplayer mode. A Next Generation critic summarized: "Duke Nukem 3D has everything Doom doesn't, but it also doesn't leave out the stuff that made Doom a classic." He praised the imaginative weapons, long and complex single-player campaign, competitive multiplayer, built-in level editor, and parental lock. Reviewers paid a lot of attention to the sexual content within the game. Reception of this element varied: Tim Soete of GameSpot felt that it was "morally questionable", while the Game Revolution reviewer noted that it was "done in a tongue-in-cheek manner", and he was "not personally offended". GamingOnLinux reviewer Hamish Paul Wilson commented in a later retrospective how the game's "dark dystopian atmosphere filled with pornography and consumerist decadence" in his view helped to ground "the game's more outlandish and obscene moments in context", concluding that "in a world as perverse as this, someone like Duke becoming its hero seems almost inevitable". Next Generation reviewed the Macintosh version of the game and stated that "Though it took a year, the Mac port of Duke Nukem 3D is an impressive feat, both for the game's own features, and the quality of the port." The Saturn version also received generally positive reviews, with critics particularly praising the use of real-world settings for the levels and Duke's numerous one-liners. Reviewers were also generally impressed with how accurately it replicates the PC version. AllGame editor Colin Williamson highly praised the Sega Saturn port, referring to it as "one of the best versions" and that it was "probably one of the best console ports ever released".GamePro summarized that "All the gore, vulgarity, go-go dancers, and ultra-intense 3D combat action that made Duke Nukem [3D] excel on the PC are firmly intact in the Saturn version, making it one of the premier corridor shooters on the system." However, some complained at the limitations of this version's multiplayer. Dan Hsu of Electronic Gaming Monthly said it was unfortunate that it supports only two players instead of four, while Sega Saturn Magazine editor Rich Leadbetter complained at the multiplayer being only supported through the Sega NetLink and not the Saturn link cable, since the NetLink was not being released in Europe, effectively making the Saturn version single-player only to Europeans. The Nintendo 64 version was likewise positively received, with critics almost overwhelming praising the new weapons and polygonal explosions, though some said that the use of sprites for most enemies and objects makes the game look outdated. While commenting that the deathmatch gameplay is less impressive than that of GoldenEye 007, critics also overwhelmingly applauded the port's multiplayer features. Next Generation stated that "The sound effects and music are solid, the levels are still interactive as heck, and it's never quite felt so good blasting enemies with a shotgun or blowing them to chunks with pipe bombs." GamePro opined that the censoring of sexual content from the port stripped the game of all uniqueness, but the vast majority of critics held that the censorship, though unfortunate, was not extensive enough to eliminate or even reduce Duke's distinctive personality. Peer Schneider of IGN called it "a better and much more intense shooter than Hexen and Doom 64, and currently the best N64 game with a two-player co-op mode. If you don't already own the PC or Saturn version of Duke, do yourself a favor and get it." Crispin Boyer of Electronic Gaming Monthly, while complaining that the large weapons obscure too much of the player's view in four-player mode, assessed that "You're not gonna find a better console version of Duke." Duke Nukem 3D was a finalist for CNET Gamecenter's 1996 "Best Action Game" award, which ultimately went to Quake. In 1996, Next Generation ranked it as the 35th top game of all time, called "for many, the game Quake should have been". In 1996 Computer Gaming World named Duke Nukem 3D #37 overall among the best games of all time and #13 among the "best ways to die in computer gaming". It won a 1996 Spotlight Award for Best Action Game. In 1998, PC Gamer declared it the 29th-best computer game ever released, and the editors called it "a gaming icon" and "an absolute blast". PC Gamer magazine's readers' voted it #13 on its all-time top games poll. The editors of PC Game ranked it as the 12th top game of all time in 2001 citing the game's humor and pop-culture references, and as the 15th best games of all time in 2005. GamePro included it among the most important video games of all time. In 2009, IGN's Cam Shea ranked it as the ninth top 10 Xbox Live Arcade game, stating that it was as fun as it was in its initial release, and praised the ability to rewind to any point before the player died. Japanese gaming magazine Famitsu reviewed the PlayStation console port, giving it a 21 out of 40 score. Controversy Duke Nukem 3D was attacked by some critics, who alleged that it promoted pornography and murder. In response to the criticism encountered, censored versions of the game were released in certain countries in order to avoid it being banned altogether. A similar censored version was carried at Wal-Mart retail stores in the United States. In Australia, the game was originally refused classification on release. 3D Realms repackaged the game with the parental lock feature permanently enabled, although a patch available on the 3D Realms website allowed the user to revert the game back into its uncensored U.S. version. The OFLC then attempted to have the game pulled from the shelves, but it was discovered that the distributor had notified them of this fact and the rating could not be surrendered; six months later, the game was reclassified and released uncensored with an MA15+ rating. In Germany, the BPjM placed the game on their "List B" ("List of Media Harmful to Young People") of videos games, thus prohibiting its advertisement in the public. However, it was not fully confiscated, meaning that an adult could still request to see the game and buy it. In 1999, Duke Nukem 3D was banned in Brazil, along with Doom and several other first-person shooters after a rampage in and around a movie theater was supposedly inspired by the first level in the game. Despite such concerns from critics, legislators, and publishers, Scott Miller later recounted that 3D Realms saw very little negative feedback to the game's controversial elements from actual gamers or their parents. He pointed out that Duke Nukem 3D was appropriately rated "M" and had no real nudity, and speculated that that was enough to make it inoffensive to the general public. Notes References External links 1996 video games Action-adventure games Alien invasions in video games Amiga 1200 games Amiga games AmigaOS 4 games Android (operating system) games AROS software Build (game engine) games Christmas video games Commercial video games with freely available source code Cooperative video games DOS games ported to Windows DOS games Duke Nukem First-person shooters Game.com games Games commercially released with DOSBox GP2X games GT Interactive Software games IOS games Linux games Classic Mac OS games MacSoft games Microsoft games MorphOS games Multiplayer and single-player video games Multiplayer null modem games Multiplayer online games Nintendo 64 games MacOS games Piko Interactive games PlayStation 3 games PlayStation Network games PlayStation Vita games Satirical video games Science fiction video games Sega Genesis games Sega Saturn games Split-screen multiplayer games Video games with Steam Workshop support Tiger handheld games U.S. Gold games Censored video games Obscenity controversies in video games Video games about size change Video games scored by Mark Knight Video games scored by Bobby Prince Video games scored by Lee Jackson (composer) Video games developed in the United States Video games set in Egypt Video games set in London Video games set in Los Angeles Video games set in Moscow Video games set in Nevada Video games set in Paris Video games set in Rome Video games set in San Francisco Video games set in the 2000s Video games set in the Netherlands Video games set in the United States Video games set on the Moon Video games with alternative versions Video games with digitized sprites Video games with expansion packs Windows games Xbox 360 Live Arcade games Devolver Digital games Video games with 2.5D graphics Eurocom games Gearbox Software games Sega video games PlayStation (console) games PlayStation 4 games Xbox One games Nintendo Switch games 3D Realms games Sprite-based first-person shooters Video games with commentaries
8587
https://en.wikipedia.org/wiki/Democide
Democide
Democide is a concept proposed by American political scientist Rudolph Rummel to describe "the intentional killing of an unarmed or disarmed person by government agents acting in their authoritative capacity and pursuant to government policy or high command." According to Rummel, this definition covers a wide range of deaths, including forced labor and concentration camp victims, killings by mercenaries and unofficial private groups, extrajudicial summary killings, and mass deaths due to governmental acts of criminal omission and neglect, such as in deliberate famines like the holodomor, as well as killings by de facto governments, i.e. civil war killings. This definition covers any murder of any number of persons by any government. Rummel created democide as an extended term to include forms of government murder not covered by genocide. According to Rummel, democide surpassed war as the leading cause of non-natural death in the 20th century. Definition Democide is the murder of any person or people by their government, including genocide, politicide, and mass murder. Democide is not necessarily the elimination of entire cultural groups but rather groups within the country that the government feels need to be eradicated for political reasons and due to claimed future threats. According to Rummel, genocide has three different meanings. The ordinary meaning is murder by government of people due to their national, ethnic, racial or religious group membership. The legal meaning of genocide refers to the international treaty on genocide, the Convention on the Prevention and Punishment of the Crime of Genocide. This also includes nonlethal acts that in the end eliminate or greatly hinder the group. Looking back on history, one can see the different variations of democides that have occurred, but it still consists of acts of killing or mass murder. The generalized meaning of genocide is similar to the ordinary meaning but also includes government killings of political opponents or otherwise intentional murder. In order to avoid confusion over which meaning is intended, Rummel created democide for this third meaning. In "How Many Did Communist Regimes Murder?", Rummel wrote: First, however, I should clarify the term democide. It means for governments what murder means for an individual under municipal law. It is the premeditated killing of a person in cold blood, or causing the death of a person through reckless and wanton disregard for their life. Thus, a government incarcerating people in a prison under such deadly conditions that they die in a few years is murder by the state—democide—as would parents letting a child die from malnutrition and exposure be murder. So would government forced labor that kills a person within months or a couple of years be murder. So would government created famines that then are ignored or knowingly aggravated by government action be murder of those who starve to death. And obviously, extrajudicial executions, death by torture, government massacres, and all genocidal killing be murder. However, judicial executions for crimes that internationally would be considered capital offenses, such as for murder or treason (as long as it is clear that these are not fabricated for the purpose of executing the accused, as in communist show trials), are not democide. Nor is democide the killing of enemy soldiers in combat or of armed rebels, nor of noncombatants as a result of military action against military targets. In his work and research, Rummel distinguished between colonial, democratic, and authoritarian and totalitarian regimes. He defined totalitarianism thusly: There is much confusion about what is meant by totalitarian in the literature, including the denial that such systems even exist. I define a totalitarian state as one with a system of government that is unlimited constitutionally or by countervailing powers in society (such as by a church, rural gentry, labor unions, or regional powers); is not held responsible to the public by periodic secret and competitive elections; and employs its unlimited power to control all aspects of society, including the family, religion, education, business, private property, and social relationships. Under Stalin, the Soviet Union was thus totalitarian, as was Mao's China, Pol Pot's Cambodia, Hitler's Germany, and U Ne Win's Burma. Totalitarianism is then a political ideology for which a totalitarian government is the agency for realizing its ends. Thus, totalitarianism characterizes such ideologies as state socialism (as in Burma), Marxism-Leninism as in former East Germany, and Nazism. Even revolutionary Moslem Iran since the overthrow of the Shah in 1978–79 has been totalitarian—here totalitarianism was married to Moslem fundamentalism. In short, totalitarianism is the ideology of absolute power. State socialism, communism, Nazism, fascism, and Moslem fundamentalism have been some of its recent raiments. Totalitarian governments have been its agency. The state, with its international legal sovereignty and independence, has been its base. As will be pointed out, mortacracy is the result. Estimates In his estimates, Rudolph Rummel relied mostly on historical accounts, an approach that rarely provides accuracy compared with contemporary academic opinion. In the case of Mexican democide, Rummel wrote that while "these figures amount to little more than informed guesses", he thought "there is enough evidence to at least indict these authoritarian regimes for megamurder." According to Rummel, his research showed that the death toll from democide is far greater than the death toll from war. After studying over 8,000 reports of government-caused deaths, Rummel estimated that there have been 262 million victims of democide in the last century. According to his figures, six times as many people have died from the actions of people working for governments than have died in battle. One of his main findings was that democracies have much less democide than authoritarian regimes. Rummel argued that there is a relation between political power and democide. Political mass murder grows increasingly common as political power becomes unconstrained. At the other end of the scale, where power is diffuse, checked, and balanced, political violence is a rarity. According to Rummel, "[t]he more power a regime has, the more likely people will be killed. This is a major reason for promoting freedom." Rummel argued that "concentrated political power is the most dangerous thing on earth." Rummel's estimates, especially about Communist democide, typically included a wide range and cannot be considered determinative. Rummel calculated nearly 43 million deaths due to democide inside and outside the Soviet Union during Stalin's regime. This is much higher than an often quoted figure in the popular press of 20 million, or a 2010s scholarly figure of 9 million. Rummel responded that the 20 million estimate is based on a figure from Robert Conquest's The Great Terror and that Conquest's qualifier "almost certainly too low" is usually forgotten. For Rummell, Conquest's calculations excluded camp deaths before 1936 and after 1950, executions (1939–1953), the forced population transfer in the Soviet Union (1939–1953), the deportation within the Soviet Union of minorities (1941–1944), and those the Soviet Red Army and Cheka (the secret police) executed throughout Eastern Europe after their conquest during the 1944–1945 period. Moreover, the Holodomor that killed 5 million in 1932–1934 (according to Rummel) is also not included. According to Rummel, forced labor, executions, and concentration camps were responsible for over one million deaths in the Democratic People's Republic of Korea from 1948 to 1987. After decades of research in the state archives, most scholars say that Stalin's regime killed between 6 and 9 million, which is considerably less than originally thought, while Nazi Germany killed at least 11 million, which is in line with previous estimates. Analysis Some researchers have found similar results to Rummel's. One commented that "[n]umerous researchers point out that democratic norms and political structures constrain elite decisions about the use of repression against their citizens whereas autocratic elites are not so constrained. Once in place, democratic institutions—even partial ones—reduce the likelihood of armed conflict and all but eliminate the risk that it will lead to geno/politicide." Researchers often give widely different estimates of mass killings or mass murders. They use different definitions, methodology, and sources, with some including battle deaths in their calculations. Klas-Göran Karlsson prefers using crimes against humanity to include "the direct mass killings of politically undesirable elements, as well as forced deportations and forced labour." Karlsson acknowledges that the term may be misleading in the sense that Communist regimes targeted groups of their own citizens, but he considers it useful as a broad legal term which emphasizes attacks on civilian populations, and because the offenses demean humanity as a whole. Michael Mann and Jacques Sémelin believe that crimes against humanity is more appropriate than genocide or politicide when speaking of killings or violence by Communist regimes. Application Authoritarian and totalitarian regimes Communist regimes The concept has been applied by Rummel to Communist regimes. According to Klas-Göran Karlsson, discussion of number of victims of Communist regimes have been "extremely extensive and ideologically biased." Any attempt to estimate a total number depends greatly on definitions, ranging from a low of 10–20 millions to as high as 110 millions. Attempts at documenting and estimating killings by Communist regimes have been made by several authors, scholars, and anti-communist organizations. In 1987, Rudolph Rummel's book Death by Government Rummel estimated that 148 million were killed by Communist governments from 1917 to 1987. The list of Communist countries with more than 1 million estimated victims included China at 76,702,000 (1949–1987), the Soviet Union at 61,911,000 (1917–1987), Democratic Kampuchea (1975–1979) at 2,035,000, Vietnam (1945–1987) at 1,670,000, Poland (1945–1987) at 1,585,000, North Korea (1948–1987) at 1,563,000, and Yugoslavia (1945–1987) at 1,072,000. Rummel's numbers should not be considered factual, as they are inflated. In 1993, Rummel wrote: "Even were we to have total access to all communist archives we still would not be able to calculate precisely how many the communists murdered. Consider that even in spite of the archival statistics and detailed reports of survivors, the best experts still disagree by over 40 percent on the total number of Jews killed by the Nazis. We cannot expect near this accuracy for the victims of communism. We can, however, get a probable order of magnitude and a relative approximation of these deaths within a most likely range." In 1994, Rummel updated his estimates for Communist regimes at about 110 million people, foreign and domestic, killed by Communist democide from 1900 to 1987. Due to additional information about Mao Zedong's culpability in the Great Chinese Famine according to Mao: The Unknown Story, a 2005 book authored by Jon Halliday and Jung Chang, Rummel revised upward his total for Communist democide to about 148 million, using their estimate of 38 million famine deaths. Communist death toll Rummel's Communist death toll attempt has been followed by some authors and scholars. In 1999, historian Stéphane Courtois's controversial introduction to The Black Book of Communism gave a "rough approximation, based on unofficial estimates" approaching 100 million killed. In his foreword to the book, historian Martin Malia wrote that "a grand total of victims variously estimated by contributors to the volume at between 85 million and 100 million." In 2004, political scientist Benjamin Valentino stated that killings in the Soviet Union, China, and Cambodia alone ranged from a low of 21 million to a high of 70 million. Citing Rummel and others, Valentino stated that the "highest end of the plausible range of deaths attributed to communist regimes" was "up to 110 million." In 2009, comparative economics professor Steven Rosefielde's book Red Holocaust argued that Communism's internal contradictions caused the killings of "approximately 60 million people and perhaps tens of millions more." In 2011, self-described atrocitologist Matthew White published his rough total of Communist killings at 70 million, including "people who died under communist regimes from execution, labor camps, famine, ethnic cleansing, and desperate flight in leaky boats", with 26 million people additionally dying in "Communist-inspired wars." In 2014, professor Julia Strauss wrote that while there was the beginning of a scholarly consensus on figures of around 20 million killed in the Soviet Union and 2–3 million in Cambodia, there was no such consensus on numbers for China. In 2017, historian Stephen Kotkin wrote in The Wall Street Journal that 65 million people died prematurely under Communist regimes according to demographers, and those deaths were a result of "mass deportations, forced labor camps and police-state terror" but mostly "from starvation as a result of its cruel projects of social engineering." The criticism of the estimates, especially those of Rummel and The Black Book of Communism, which made use of Rummel's estimates and analysis, are mostly focused on three aspects, namely that the estimates were based on sparse and incomplete data when significant errors are inevitable, that the figures were skewed to higher possible values, and that those dying at war and victims of civil wars, Holodomor, and other famines under Communist governments should not be counted. The body-counting has been criticized as ideologically motivated and inflated, for its methodology of counting excess deaths and ignoring lives saved by Communist modernization, and to score a political point to dismiss anti-capitalist and socialist politics, and engage in comparisons and equations with Nazism, which are described by scholars as Holocaust obfuscation, Holocaust trivialization, and anti-communist oversimplifications; the same body-counting can be easily applied to other ideologies or systems, such as capitalism and colonialism. According to historian Anton Weiss-Wendt, any attempts to develop a universally-accepted terminology describing mass killings of non-combatants was a complete failure. Weiss-Wendt wrote that the field of comparative genocide studies has very "little consensus on defining principles such as definition of genocide, typology, application of a comparative method, and timeframe." In addition, the Communist grouping as applied by Courtois and Malia in The Black Book of Communism has no adequate explanation, and Malia is able to link disparate regimes, from radical Soviet industrialists to the anti-urbanists of the Khmer Rouge, under the guise of a "generic communism" category "defined everywhere down to the common denominator of party movements founded by intellectuals." Far-right, fascist, and feudal regimes Estimates by Rummel for fascist or far-right regimes include Nazi Germany at 20,946,000 (1933–1945), Nationalist China (1925–1949) and later Taiwan at 10,214,000 (1949–1987), and Empire of Japan at 5,964,000 (1900–1945). Estimates for other regime-types include the Ottoman Empire at 1,883,000 (Greek genocide), Pakistan at 1,503,000 (1971 Bangladesh genocide), Porfiriato at somewhere between 600,000–3,000,000 and closer to 1,417,000 (1900–1920), and the Russian Empire at 1,066,000 (1900–1917). Democide in Communist and Nationalist China, Nazi Germany, and the Soviet Union are characterized by Rummel as deka-megamurderers (128,168,000), while those in Cambodia, Japan, Pakistan, Poland, Turkey, Vietnam, and Yugoslavia are characterized as the lesser megamurderers (19,178,000), and cases in Mexico, North Korea, and feudal Russia are characterized as suspected megamurderers (4,145,000). Rummel wrote that "even though the Nazis hardly matched the democide of the Soviets and Communist Chinese as shown in table 1.3, they proportionally killed more. Figure 1.2 illustrates this." Colonial regimes In response to David Stannard's figures about what he terms "the American Holocaust", Rummel estimated that over the centuries of European colonization about 2 million to 15 million American indigenous people were victims of democide, excluding military battles and unintentional deaths in Rummel's definition. Rummel wrote that "[e]ven if these figures are remotely true, then this still make this subjugation of the Americas one of the bloodier, centuries long, democides in world history." Rummel stated that his estimate for those killed by colonialism is 50,000,000 persons in the 20th century; this was revised upwards from his initial estimate of 815,000 dead. Democratic regimes While democratic regimes are considered by Rummel to be the least likely to commit democide and engage in wars per the democratic peace theory, Rummel wrote that "democracies themselves are responsible for some of this democide. Detailed estimates have yet to be made, but preliminarily work suggests that some 2,000,000 foreigners have been killed in cold blood by democracies." Foreign policy and secret services of democratic regimes "may also carry on subversive activities in other states, support deadly coups, and actually encourage or support rebel or military forces that are involved in democidal activities. Such was done, for example, by the American CIA in the 1952 coup against Iran Prime Minister Mossadeq and the 1973 coup against Chile's democratically elected President Allende by General Pinochet. Then there was the secret support given the military in El Salvador and Guatemala although they were slaughtering thousands of presumed communist supporters, and that of the Contras in their war against the Sandinista government of Nicaragua in spite of their atrocities. Particularly reprehensible was the covert support given to the Generals in Indonesia as they murdered hundreds of thousands of communists and others after the alleged attempted communist coup in 1965, and the continued secret support given to General Agha Mohammed Yahya Khan of Pakistan even as he was involved in murdering over a million Bengalis in East Pakistan (now Bangladesh)." According to Rummel, examples of democratic democide would include "those killed in indiscriminate or civilian targeted city bombing, as of Germany and Japan in World War II. It would include the large scale massacres of Filipinos during the bloody American colonization of the Philippines at the beginning of this century, deaths in British concentration camps in South Africa during the Boer War, civilian deaths due to starvation during the British blockade of Germany in and after World War I, the rape and murder of helpless Chinese in and around Peking in 1900, the atrocities committed by Americans in Vietnam, the murder of helpless Algerians during the Algerian War by the French, and the unnatural deaths of German prisoners of war in French and American POW camps after World War II." See also Classicide Genocides in history Language death List of genocides by death toll List of wars and anthropogenic disasters by death toll Policide References External links Power Kills – the website of Rudolph Rummel Crimes Genocide Human rights abuses Murder Political neologisms Violence
8599
https://en.wikipedia.org/wiki/Davenport%2C%20Iowa
Davenport, Iowa
Davenport is a city in and the county seat of Scott County, Iowa, United States. It is located along the Mississippi River on the eastern border of the state, and is the largest of the Quad Cities, a metropolitan area with a population estimate of 382,630 and a CSA population of 474,226; it is the 90th largest CSA in the nation. Davenport was founded on May 14, 1836 by Antoine Le Claire and was named for his friend George Davenport, a former English sailor who served in the U.S. Army during the War of 1812, served as a supplier Fort Armstrong, worked as a fur trader with the American Fur Company, and was appointed a quartermaster with the rank of colonel during the Black Hawk War. According to the 2010 census, the city had a population of 99,685 (making it Iowa's third-largest city). The city appealed this figure, arguing that the Census Bureau missed a section of residents, and that its total population was more than 100,000. The Census Bureau estimated Davenport's 2019 population to be 101,590. Located approximately halfway between Chicago and Des Moines, Davenport is on the border of Iowa across the river from Illinois. The city is prone to frequent flooding due to its location on the Mississippi River. There are two main universities: St. Ambrose University and Palmer College of Chiropractic, where the first chiropractic adjustment took place. Several annual music festivals take place in Davenport, including the Mississippi Valley Blues Festival, the Mississippi Valley Fair, and the Bix Beiderbecke Memorial Jazz Festival. An internationally known foot race, called the Bix 7, is run during the festival. The city has a Class A minor-league baseball team, the Quad Cities River Bandits. Davenport has 50 plus parks and facilities, as well as more than of recreational paths for biking or walking. Three interstates, 80, 74 and 280, and two major United States Highways serve the city. Davenport has seen steady population growth since its incorporation. National economic difficulties in the 1980s resulted in job and population losses. The Quad Cities was ranked as the most affordable metropolitan area in 2010 by Forbes magazine. In 2007, Davenport, along with neighboring Rock Island, won the City Livability Award in the small-city category from the U.S. Conference of Mayors. In 2012, Davenport, and the Quad Cities Metropolitan Area, was ranked among the fastest-growing areas in the nation in the growth of high-tech jobs. Notable natives of the city have included jazz legend Bix Beiderbecke, Pulitzer Prize-winning playwright Susan Glaspell, former National Football League running back Roger Craig, UFC Welterweight Champion Pat Miletich, IBF Middleweight and WBA Super Middleweight boxing champion Michael Nunn, and former two time WWE Champion and WWE Universal Champion Seth Rollins. History The land was originally owned by the historic Sauk people, Meskwaki (Fox), and Ho-Chunk (Winnebago) Native American tribes. France laid claim to this territory as part of its New France and Illinois Country in the 18th century. Its traders and missionaries came to the area from Canada (Quebec), but it did not have many settlers here. After losing to Great Britain in the Seven Years' War, France ceded its territory east of the Mississippi River to the victor, but retained lands to the west. In 1803 France sold its holdings in North America west of the Mississippi River to the United States under the Louisiana Purchase. Lieutenant Zebulon Pike was the first United States representative to officially visit the Upper Mississippi River area. On August 27, 1805, Pike camped on the present-day site of Davenport. In 1832, a group of Sauk, Meskwaki, and Kickapoo people were defeated by the United States in the Black Hawk War. The United States government concluded the Black Hawk Purchase, sometimes called the Forty-Mile Strip or Scott's Purchase, by which the US acquired lands in what is now eastern Iowa. The purchase was made for $640,000 on September 21, 1832 and contained an area of some , at a price equivalent to 11 cents/acre (26 $/km). Although named after the defeated chief Black Hawk, he was being held prisoner by the US. Sauk chief Keokuk, who had remained neutral in the war, signed off on the purchase. It was made on the site of present-day Davenport. Army General Winfield Scott and Governor of Illinois, John Reynolds, acted on behalf of the United States, with Antoine Le Claire, a mixed-race (Métis) man, serving as translator. He later was credited with founding Davenport. Chief Keokuk gave a generous portion of land to Antoine Le Claire's wife, Marguerite, the granddaughter of a Sauk chief. Le Claire built their home on the exact spot where the agreement was signed, as stipulated by Keokuk, or he would have forfeited the land. Le Claire finished the 'Treaty House' in the spring of 1833. He founded Davenport on May 14, 1836, naming it for his friend Colonel George Davenport, who was stationed at Fort Armstrong during the war. The city was incorporated on January 25, 1839. The area was successively governed by the legislatures of the Michigan Territory, the Wisconsin Territory, Iowa Territory and finally Iowa. Scott County was formed by an act of the Wisconsin Territorial legislature in 1837. Both Davenport and its neighbor Rockingham campaigned to become the county seat. The city with the most votes from Scott County citizens in the February 1838 election would become the county seat. On the eve of the election, Davenport citizens acquired the temporary service of Dubuque laborers so they could vote in the election. Davenport won the election with the help of the laborers. Rockingham supporters protested the elections to the territorial governor, on the grounds the laborers from Dubuque were not Scott County residents. The governor refused to certify the results of the election. A second election was held the following August. To avoid another import of voters, the governor set a 60-day residency requirement for all voters. Davenport won by two votes. Because the margin of victory was so close, a third election was held in the summer of 1840. As the August election drew nearer, Rockingham residents grew tired of the county seat cause. Davenport easily won the third election. Consequently, to avoid questions about the county seat, Davenport quickly built the first county courthouse. The Rock Island Railroad built the first railroad bridge across the Mississippi River in 1856. It connected Davenport to Rock Island, Illinois. This railway connection resulted in significant improvements to transportation and commerce with Chicago, a booming 19th-century city. The addition of new railroad lines to Muscatine and Iowa City, and the acquisition of other lines by the Rock Island Railroad, resulted in Davenport becoming a commercial railroad hub. Steamboat companies rightly saw nationwide railroads as a threat to their business. On May 6, 1856, just weeks after the bridge was completed, a steamboat captain deliberately crashed the Effie Afton into the bridge. The owner of the Effie Afton, John Hurd, filed a lawsuit against the Rock Island Railroad Company. Abraham Lincoln was the lead defense lawyer for the railroad company. The decision of the United States Supreme Court upheld the right to bridge navigable streams, therefore the bridge was allowed to remain. Prior to the start of the Civil War, Governor Samuel J. Kirkwood declared Davenport to be Iowa's first military headquarters; five military camps were set up in the city to aid the Union. The Davenport City Hall was built in 1895 for price of $100,000 ($ in dollars). Architectural journals of the time poked fun at the project due to the small amount of money budgeted. The skyline began forming in the 1920s with the construction of the Kahl Building, the Parker Building, and the Capitol Theatre during a period of economic and building expansion. By 1932, thousands of Davenport residents were on public relief, due to the Great Depression. A shantytown of the poor developed in the west end of the city, along the Mississippi River. Sickness, hunger, and unsanitary living conditions plagued the area. The situation would soon change, as many citizens went to work for the Works Progress Administration. Davenport had an economic boom during and after World War II, driven by wartime industry and peacetime demand. As Davenport grew, it absorbed smaller surrounding communities, annexing Rockingham, Nahant, Probstei, East Davenport, Oakdale, Cawiezeel, Blackhawk, Mt. Joy, Green Tree, and others. Oscar Mayer, Ralston Purina, and other companies built plants in west Davenport. The Interstate highway network reached Davenport in 1956, improving transportation in the area. By 1959, more than 1,000 homes a year were being constructed. By the late 1970s, the good times were over for both downtown and local businesses and industries. Railroad restructuring in the mid-20th century had caused a loss of jobs in the industry. The farm crisis of the 1980s negatively affected Davenport and the rest of the Quad Cities, where a total of 35,000 workers lost their jobs throughout the entire Quad Cities area. Restructuring of heavy industry also continued: the Caterpillar plant on the city's north side closed, causing another wave of job loss. With the 1990s, the city finally showed the beginnings of a resurgence. In the early 21st century, many renovations and building additions have occurred to revitalize the downtown area, including repairing Modern Woodmen Park, the building of the Skybridge and the Figge Art Museum. In 2011, the Gold Coast and Hamburg Historic District was named as a 2011 "America's Great Place" by the American Planning Association. Geography Davenport's longitude and latitude coordinates in decimal form are 41.542982, −90.590745. According to the United States Census Bureau, the city has a total area of , of which is land and is water. Davenport is located approximately west of Chicago and east of the Iowa state capital of Des Moines. The city is located about north of St. Louis, Missouri, and southeast of Minneapolis, Minnesota. Farmland surrounds Davenport, outside the Quad Cities area. Davenport is located on the banks of the Mississippi River. At this point the river has a maximum depth of around and is wide where the Centennial Bridge crosses it. The river flows from east to west in this area, as opposed to its usual north to south direction. From the river the city starts to slope north up a hill, which is steep at some points. The streets of the city, especially downtown and in the central part of the town, follow a grid design. Davenport often makes national headlines when it suffers seasonal flooding by the Mississippi River. It is the largest city bordering the Mississippi that has no permanent flood wall or levee. Davenport residents prefer to maintain open access to the river for parks and vistas rather than have it cut off by dikes and levees. Davenport has adopted ordinances requiring any new construction in the floodplain to be elevated above the 100-year-flood level, or protected with walls. As a result, former mayor Phil Yerington said that if they "let Mother Nature take her course, we'll all be better off". An example of a Davenport building that is elevated or flood-proofed is the Figge Art Museum. Climate Under the Köppen climate classification, Davenport is considered to have a humid continental climate (Dfa). Summers are very warm to hot with high levels of humidity. Winters have cold temperatures and often high winds, with snow likely from November through February. Average snowfall in Davenport is per year. January is on average the coldest month, while July is the warmest. The highest temperature recorded in Davenport was on July 12, 1936. The lowest temperature, , was recorded on January 18, 2009. Substantial weather changes frequently occur at three- to four-day intervals as a result of mid-latitude storm tracks, which is where low and high pressure extratropical disturbances occur. Although several minor tornadoes have occurred, no devastating tornado has ever touched down in Davenport. Flooding, however, is often a problem in Davenport due to the lack of a flood wall. During the Great Flood of 1993, the water crested at on July 9. This is nearly above the flood stage. Major flooding in Davenport causes many problems. Roads in and around the downtown area, including U.S. Route 67, are closed and cause increased traffic on other city roads. The effects of major flooding can be long-lasting. For example, during the 2008 flooding, Credit Island in the city's southwest corner remained closed for 5½ months while crews worked on cleaning up damage and removing river debris. Duck Creek, a stream situated in Bettendorf and Davenport, is also vulnerable to flash flooding. Severe thunderstorms on June 16, 1990, created heavy flash flooding in Bettendorf and Davenport that killed four people. Another major flood happened on June 12, 2008, when severe thunderstorms caused Duck Creek to overflow its banks and flood properties and nearby streets (see Iowa flood of 2008). Neighborhoods Davenport has several neighborhoods dating back to the 1840s. The original city plot was around current day Ripley and 5th Streets, where Antoine Le Claire had built his house. The city can be divided into five areas: downtown, central, east end, near north and northwest, and west end. Many architectural designs are found throughout the city including Victorian, Queen Anne, Tudor Revival, and others. Many of the original neighborhoods were inhabited by German settlers. The east side of the city dates back to 1850 and has always contained higher end housing. The proximity and commanding view of the river kept these neighborhoods a fashionable address, long after the original families departed. Lindsay Park, in The Village of East Davenport, was used as parade grounds for Civil War soldiers from Camp McClellan. In contrast to the east side, the central and west neighborhoods originally contained many of the working class Germans who settled the town. Development on the west side started in the 1850s, with extensive construction occurring in the 1870s. Housing was mostly one and a half to two-story front gable American Foursquare and simplified Queen Anne style. The central Hamburg neighborhood, now known as the Hamburg Historic District, contains the most architecturally significant residences in the old German neighborhoods. Also in central Davenport, the Vander Veer Park Historic District is a neighborhood anchored by Vander Veer Park, a large park with a botanical garden and a fountain. The park was modeled after New York City's Central Park and originally shared its name. Vander Veer is surrounded by large Queen Anne and Tudor Revival style houses that were built between 1895 and 1915. Development of the Vander Veer Park was one of the first major beautification efforts. Today, the eastern side of Davenport still contains many of the higher class houses in the city. The old Civil War parade grounds, in The Village of East Davenport ("The Village" for short), have been turned into Lindsay Park, which is surrounded by small specialty shops. West of The Village, Downtown contains the two tallest buildings in the Quad Cities; the Wells Fargo Bank Building, which is 255 feet tall, and the Mid-American Energy Building, which is 220 feet tall. Other tall buildings include the 11-story Hotel Blackhawk, the 150 foot Kahl Building and the Davenport City Hall. Government Davenport uses a mayor–council form of local government. , city government consists of mayor Mike Matson and a ten-person council. One person is elected from each of the eight wards and two at-large aldermen are elected to represent the whole city. Nonpartisan elections are held in odd-numbered years. The mayor is the top elected individual for the city and presides over city council meetings, voting in case of a tie. He or she also appoints city board members. The city council's job is to make laws and set the city budget. The city administrator, currently (no permanent administrator), is appointed by the mayor with confirmation by two-thirds of the council. Citywide goals through 2012 include having a financially responsible government, having a growing economy, revitalizing neighborhoods, and upgrading city infrastructure and public facilities. The establishment of Davenport as a political and government unit came in 1839, three years after the city was settled. The city was incorporated as a result of a resolution by Iowa Representative Jonathan W. Parker by special charter in the Iowa Territory on January 25, 1839. Parker was a resident of Davenport and one of six trustees elected to govern the city with Rodolphus Bennet being the first mayor. Activity for the first four months was minimal as the council failed to meet. In 1842, the city charter was amended for the first time. Changes include having six alderman replace the five trustees, dividing the city into three wards, and appointing a city clerk position to replace the recorder. The charter was amended again in 1851 to expand the city area, provide greater detail of the duties of the mayor, city council, and other officials. During the last half of the 19th century, government assumed expanding responsibilities for public welfare and public works improvements. The city expanded police protection, even temporarily having volunteer police officers to assist the three paid officers. Fire protection was expanded in 1882, with the city's first 13 paid firefighters. Former mayor Henry Vollmer accomplished several public works achievements, including large street paving and new sub-divisions being plotted. A large city budget surplus brought the creation of the Davenport City Hall. After 1900, each mayor brought new agendas for city improvement. Waldo Becker encouraged new railroads for the city. He also promised a more business-like government, in terms of financial responsibility and to depoliticize the police department. In the mid-1920s the city established the first zoning ordinances, electrical traffic signals and street lighting. The city also expanded with the incorporation of the city of Rockingham and the establishment of the Davenport Municipal Airport. The 2010 fiscal year budget was $199.2 million, an increase of $35 million from 2009. The city's general fund receives the largest amount of funds from property taxes, followed by service fees such as solid waste collection and swimming pool or golf course admission and 80% of its expenses go to personnel costs. The city has given a few surveys for citizens to rate the quality of life and city services. The largest department in the city is the public works department with a budget of $36.7 million. The police department is second with a budget of $22.4 million, while the fire department has a budget of $15 million. The parks department has $6.1 million, and the Davenport Public Library has a $3.8 million budget. At the federal level, Davenport is in Iowa's 2nd congressional district. It is represented by Republican Mariannette Miller-Meeks. The two Senators are Republicans Chuck Grassley and Joni Ernst. At the state level, Davenport is represented by the 45th, 46th, and 47th Iowa Senate districts and in the Iowa House of Representatives by the 89th, 90th, 92nd, 93rd, and 94th districts. , the 41st senate district covers the eastern third of the city and all of Bettendorf, Riverdale, and Panorama Park. It is more conservative then other Davenport districts being represented by a Republican since the 1970s. The district is slightly moving more liberal with an increase of 3,000 Democrats between 2006 and 2010. The district is represented by Republican Senator Roby Smith. The 42nd district covers the western third of the city along with all of Scott County that is not in Davenport, Bettendorf, Riverdale, or Panorama Park as well as western and southern rural Clinton County and is represented by Republican Senator Shawn Hamerlinck. The 43rd senate district covers the central third of the city and is represented by Democrat Joe Seng. The 81st house district covers the eastern third of the city along with small western portion of Bettendorf. The district shares the same western boundaries as the forty-first senate district. The district is represented by Democrat Phyllis Thede. The 84th district covers the western third of the city, and has the same eastern boundary as Senate district forty-two and is represented by Republican Ross Paustian. The 85th and 86th districts are made up of the same area as the forty-third senate district. The 85th district covers the north and west-central area while the 86th district covers southern and eastern part of the senate district. Both are represented by Democrats with Jim Lykam representing the 85th and Cindy Winckler representing the 86th. Davenport has a Federal Court House for the United States District Court for the Southern District of Iowa. US House of Representatives Iowa Senate Iowa House of Representatives Demographics According to the 2010 United States Census estimate, the city population grew to 99,685 and the Quad Cities metropolitan area grew to 379,690. As of the 2000 census, there were 98,359 people, 39,124 households, and 24,804 families residing in the city. The population density was 1,566.5 people per square mile (604.8/km). There were 41,350 housing units at an average density of 658.5 per square mile (254.3/km). Davenport's population density was 30 times the average density of Iowa and 20 times the average density of the United States. However, it was about a third less than Des Moines and 20 percent less than Cedar Rapids, the only two cities in Iowa with higher populations than Davenport. Sioux City, the next city smaller than Davenport in population, had a density of 5 people more per square mile. The racial makeup of the area was 83.7% White (410,861), 11.43% Black or African American (27,757), 0.4% American Indian and Alaskan Native (1,255), 2.0% Asian (6,624), 0.03% Pacific Islander (156), and 2.0% from two or more races (11,929). 7.1% of the population was Hispanic or Latino of any race (37,070). There were 39,124 households, out of which 31.8% had children under the age of 18 living with them, 46.0% were married couples living together, 13.4% had a female householder with no husband present, and 36.6% were non-families. Of all households, 29.5% were made up of individuals, and 9.4% had someone living alone who was 65 years of age or older. The average household size was 2.44 and the average family size was 3.03. Davenport is less white than the rest of Iowa on average, but has a higher proportion of whites than the rest of the United States. Age spread: 26.2% under the age of 18, 10.7% from 18 to 24, 30.1% from 25 to 44, 20.9% from 45 to 64, and 12.1% who were 65 years of age or older. The median age was 34 years. For every 100 females, there were 94.7 males. Economy Davenport's biggest labor industry is manufacturing, with over 7,600 jobs in the sector. John Deere is the second largest employer in the Quad Cities, after the Rock Island Arsenal as a whole. Deere, however, is the largest single employer, employing 7,200 workers in the Quad Cities and 948 on its north side Davenport plant. John Deere World Headquarters is located in Moline. Other large employers in Davenport and the Quad Cities include, Genesis Health System with 5,125 employees and 4,900 in Davenport, Trinity Regional Health System with 3,333, regional grocery store Hy-Vee with 3,138 and the Davenport Community School District with 2,237 employees. Davenport is the headquarters for department store Von Maur, which has 24 stores. Davenport is also the headquarters of Lee Enterprises, which publishes fifty daily newspapers and more than 300 weekly newspapers, shoppers, and specialty publications, along with online sites in 23 states. As of September 2009, the unemployment rate in Davenport and the rest of the Quad Cities, had risen to 8.4%. The median income for a household in the city was $40,378, with families earning $51,445. Males had a median income of $41,853 versus $30,002 for females. The per capita income for the city was $18,828. About 10.5% of families and 14.1% of the population were below the poverty line, including 19.2% of those under age 18 and 6.4% of those ages 65 or over. Davenport has a lower cost of living than the national average, in 2010 the average home price was $110,000; Forbes ranked Davenport as the best metropolitan area for cost of living, up from second in 2009. CNN Money ranked Davenport as the 16th most affordable housing in the country. The surrounding Quad Cities have a few major places of employment, including the Rock Island Arsenal, which is the largest government-owned weapons manufacturing arsenal in the United States. KONE, Inc, a large manufacturer of elevators, is located in Moline, Illinois. Alcoa, a large aluminum manufacturer, is located in Riverdale, Iowa. Other local businesses include Whitey's Ice Cream, Hungry Hobo sandwich shop, and Happy Joe's and Harris Pizza – both local pizzerias (the former of which is also an ice cream parlor). Arts and culture Landmarks Downtown Davenport has many points of interest including the Davenport Public Library, the Davenport Skybridge, Figge Art Museum, River Music Experience, Putnam Museum, the RiverCenter/Adler Theater, Modern Woodmen Park which is home of the Quad City River Bandits baseball team and the Centennial Bridge. The former Chicago, Milwaukee, St. Paul and Pacific Freight House, now known as The Freight House, is home to several small businesses featuring locally grown items, such as a deli, a grocery hub, and a tap room for a local brewery. Davenport's cultural and educational institutions include the Figge Art Museum, which houses The National Center for Midwest Art and Design, and was founded in 1925 as the Davenport Municipal Art Gallery. The Putnam Museum, which was founded in 1867 and was one of the first museums west of the Mississippi River. The Quad City Symphony Orchestra, headquartered in downtown Davenport, was founded in 1915. The Davenport Public Library was opened in 1839. The German American Heritage Center is located at the foot of the Centennial Bridge. Uptown features a few historic landmarks such as the Iowa Soldiers' Orphans' Home which took in homeless children from all of Iowa's ninety-nine counties following the Civil War and Ambrose Hall which was the original building of St. Ambrose University. Aside from landmarks, uptown contains some entertainment venues too, such as the Great Mississippi Valley Fairgrounds, which hosts fairs, stock car racing, and many other events. NorthPark Mall is the city's main shopping mall and has 160 stores. Its companion, SouthPark Mall, is located in Moline. Brady Street Stadium is home to Davenport high school and Saint Ambrose University football games. Davenport has a number of parks, including Credit Island park which has a bike path, baseball diamonds, tennis courts, and fishing along the Mississippi River. Vander Veer Botanical Park has a small botanical garden and also features a walking path, a lagoon, and a large fountain. The Stampe Lilac Garden is located in Duck Creek Park, on Locust St. Additional Parks and Recreation amenities: • 50+ parks and facilities • 25+ picnic areas and shelters • 20+ miles of recreational trails • 2 dog off leash parks • Multiple natural prairies and no-mow zones • 32 playgrounds • 30 ball diamonds • 17 outdoor basketball courts • 8 tennis/pickle ball courts • 8 volleyball courts • 3 golf courses • FootGolf course (Red Hawk Golf Course) • 3 disc golf courses • 8 river views • Multiple lagoons and pond • Various fishing locations including 3 boat launches • 3 pools • Spray park • 3 splash pads • Soccer complex • Indoor ice and turf facility (The River's Edge) • Skate park • Iowa's only indoor human foosball (The River's Edge) • Mobile environmental education trailer • Mobile show wagon • Botanical park and conservatory • 5 fountains • 2 lodges • Cemetery • Community center • Several historic sites including a bandshell • The second oldest children's theatre in America (Junior Theatre) Events and festivals Bix Fest is a three-day music festival with many traditional jazz bands held in tribute to internationally renowned jazz cornetist, pianist, composer, and Davenport native Bix Beiderbecke. The festival was started in August 1971 and the Bix Beiderbecke Memorial Society was founded one year later to organize and sponsor it. 2009 was the 39th consecutive festival. In addition to the Bix Fest, the Wells Fargo Street Fest features live music, food, and vendors. The annual Bix 7 is a road race held in late July in Davenport. The race was founded in 1975 by John A. Hudetz a resident of Bettendorf, Iowa, who wanted to bring to the Quad Cities some of the excitement he felt when he ran his first Boston Marathon. The first race had 84 participants, but today 12,000 to 18,000 runners take part. In late July or early August the six-day Great Mississippi Valley Fair features major grandstand concerts, carnival rides, attractions, and food vendors. Sturgis on the River is a large annual gathering of motorcycles which includes bands and food vendors. Other local expositions include River Roots Live, Beaux Arts Fair and many others. Livability Award Davenport (along with neighboring Rock Island, Illinois), won the 2007 City Livability Award in the small-city category from the U.S. Conference of Mayors. Tom Cochran, Executive Director of the Conference, stated that the award "gives the Conference a chance to highlight mayoral leadership in making urban areas safer, cleaner and more livable." The award acknowledges achievements from the RiverVision plan of Davenport and Rock Island. Sports and recreation Davenport and the Quad Cities are home to many sports teams. The Quad Cities River Bandits baseball team play games at Downtown Davenport's Modern Woodmen Park. The TaxSlayer Center in Moline is home the Quad City Steamwheelers indoor football team and the Quad City Storm hockey team. Davenport high schools are in the Mississippi Athletic Conference for sports. Davenport has over fifty parks or recreational trails. Major parks include Credit Island, which is a park in southwest Davenport located alongside the Mississippi River. Fejervary Park contains a pool and has had approximately 20,000 visitors each year since 1996. Junge Park is situated along the Duck Creek Parkway and includes baseball and softball fields, sand volleyball, and basketball courts. LeClaire Park is located right on the banks of the Mississippi River next to Modern Woodmen Park and hosts many summer events including River Roots Live and Ribfest. Bands for the Bix Fest play in the park each July. Vander Veer Botanical Park welcomes approximately 25,000 visitors to continuous floral shows. The city features two recreational trails for biking or walking. Duck Creek Parkway extends from Emeis Park in west Davenport east to Bettendorf along Duck Creek. Riverfront Parkway extends along the Mississippi waterfront from Credit Island to Bettendorf. Both these trails continue into Bettendorf. Plans are being discussed to connect the two trails in Riverdale. Three public golf courses are offered in the city. For river-related activities, The Channel Cat boat offers rides across the river and has two stops in Iowa and three stops in Illinois and connects the bike paths that each state has on its river front. Davenport is also home to Daytrotter, a recording studio and venue which has hosted and recorded many different indie-rock bands throughout the country. Daytrotter is located at 324 Brady Street in the heart of downtown Davenport. Media There are two major daily newspapers in Davenport. The Quad-City Times is based out of Davenport and The Dispatch/Rock Island Argus is based out of Moline. An alternative free newspaper, the River Cities' Reader, is published in Davenport. All four major television networks have stations in the area, including KWQC (NBC) and KLJB (Fox) in Davenport. WHBF (CBS) is located in Rock Island and WQAD (ABC) is in Moline. The Quad Cities ranks as the 97th largest market for television and the 147th largest market for radio. Radio station WOC made its local broadcasting debut on February 18, 1922. It was the second licensed station on the air. In 1933 WOC hired future president Ronald Reagan as a staff announcer. Film, theater, and literary references Bix Beiderbecke recorded a song in 1925 called "Davenport Blues". In the bed department scene of the Marx Brothers 1941 movie "The Big Store" Groucho tells a man to "Just press that button over by the davenport.". The man replies "Where is the davenport?" and Groucho replies "It's in Iowa.". The 1958 Johnny Cash song, "Big River", also later recorded by Bill Monroe and other artists, mentions "cavortin' in Davenport." Davenport is one of eight cities listed in the song "Iowa Stubborn" from the 1957 musical The Music Man. Davenport during and following the 1993 flood is a playable scenario in Sim City 2000 Scenarios Volume 1: Great Disasters. In the film Tommy Boy, Richard Hayden attempts to get directions to a business appointment in Davenport from a service station 22 miles away on the Illinois side of the river, but the employee tells him to get a new map despite being in the Quad Cities metro area. Education Davenport public schools serve nearly 14,500 students in the communities of Davenport, Blue Grass, Buffalo, and Walcott. The Davenport Community School District is the fourth-largest school district in Iowa. Davenport has four public high schools: Central, West, Mid City and North and one private high school: Assumption. There are six public intermediate schools and 23 public elementary schools. Sudlow, one of the intermediate schools, was named after Phebe Sudlow, the first female public school superintendent in the United States. She was superintendent for Davenport schools from 1874 to 1878. The high schools are part of the Mississippi Athletic Conference for sports. The city has four colleges and universities: Saint Ambrose University, established in 1882, is the oldest; Kaplan University, Palmer Chiropractic College, and Hamilton Technical College. Palmer College is the first chiropractic school and the site of the first chiropractic adjustment in the world. Marycrest International University was a university in Davenport from 1939 to 2002, when it closed. The campus was renovated and adapted to senior citizen housing. Infrastructure Transportation Three interstate highways serve Davenport: Interstate 80, Interstate 280, and Interstate 74. Interstate 88 serves the Illinois Quad Cities and runs east to Chicago. U.S. Route 6, U.S. Route 61, and U.S. Route 67 also go through Davenport; U.S. 67 crosses over to Illinois via the Rock Island Centennial Bridge. Davenport is connected to the Illinois side of the Quad Cities by a total of three bridges across the Mississippi River. The Government Bridge and the Centennial Bridge connect Downtown Davenport with the Rock Island Arsenal and downtown Rock Island, respectively. The I-280 Bridge connects the western edge of Davenport with the western edge of Rock Island. Other highways include Iowa Highway 22, which is on the city's southwest side, and Iowa Highway 130, which runs along Northwest Boulevard on Davenport's north edge. For air travel, Davenport Municipal Airport – located adjacent to the city's northern city limits – serves smaller aircraft, and is the home of the annual Quad City Airshow. The Quad City International Airport across the river in Moline, Illinois, is the closest commercial airport. Major railroads include the Iowa Interstate Railroad and the Iowa, Chicago and Eastern. Two national U.S. recreation trails intersect in Davenport: the Mississippi River Trail and the American Discovery Trail. Amtrak currently does not serve Davenport or the Quad Cities. The closest station currently is about away in Galesburg, Illinois. In 2008, United States Senators Tom Harkin, Chuck Grassley, Dick Durbin, and Barack Obama sent a letter to Amtrak asking them to begin plans to bring rail service to the Quad Cities. In October 2010, a $230 million federal fund was announced that will bring Amtrak service to the Quad Cities, with a new line running from Moline to Chicago. They had hoped to have the line completed in 2015, and offer two round trips daily to Chicago. Currently the Moline station does not have any Amtrak service. Greyhound Lines/Burlington Trailways bus service has a station in Davenport. The building is shared with the local Davenport Citibus. Davenport does not have any river ports. Davenport has an infamous "truck-eating bridge". The bridge, or rather three bridges, is a set of railroad bridges that cross over north and southbound U.S. Route 61 and another street. Every year an average of 12 semi trucks hit the bridge, usually causing massive damage to the trucks. The bridges, made out of iron, steel, and concrete, are rarely damaged. Davenport Citibus Public transit appeared in Davenport in 1969 when the city created a City Transit Authority. The authority at first provided monetary support to Davenport City Lines Bus Company, which was a privately owned company. After a few years the city purchased the Davenport City Lines and placed the operation of public transportation under the jurisdiction of the City's Department of Municipal Transportation. Today, CitiBus is a division of the Department of Public Works. CitiBus has a total of 20 vehicles and covers approximately of the city. CitiBus connects with both Bettendorf Transit and the Illinois Quad Cities mass transit system, MetroLINK. In 2007 Citibus saw a ridership of 1,022,815 customers. Ridership as of September 2008 had grown to 1,045,000 due in part to high gas prices. Utilities Electricity to Davenport, and the rest of the Iowa Quad Cities, is provided by MidAmerican Energy Company. Water is provided by the Mississippi River and is treated by the Iowa American Water Company. The water treatment facility is located in southeast Davenport. Health care Davenport is served by two hospitals: Genesis Medical Center East – Rusholme Street and Genesis Medical Center – West Central Park Avenue part of the Genesis Health System. Together the facilities, along with two other facilities outside Davenport have 665 beds. The hospitals employ more than 600 physicians and 5,000 staff members. The American Nurses Credentialing Center, awarded Genesis Medical Center the Magnet designation for excellence in nursing services. Fewer than three percent of hospitals receive this honor. Notable people Notable Davenporters include jazz musician Bix Beiderbecke, after whom the Bix 7 road race and jazz festival are named. The artist Isabel Bloom was raised in Davenport; she is the creator of decorative concrete figurines that bear her name. Guitarist and vocalist John Kadlecik, who founded The Dark Star Orchestra and toured with the members of The Grateful Dead in the band Furthur, also grew up in Davenport. Sports figures born in Davenport include NFL running back Roger Craig, NFL offensive lineman Julian Vandervelde, former NBA guard Ricky Davis, former middleweight boxing champion Michael Nunn, UFC welterweight champion Robbie Lawler, NFL wide receiver Kenny Shedd and professional wrestler Seth Rollins. Other natives include the aviation pioneer Samuel Cody, actors Stuart Margolin, Lara Flynn Boyle, Sue Lyon, Linnea Quigley, and Greg Stolze. Otto Frederick Rohwedder, the inventor of mass-produced sliced bread, and actor Jock Mahoney, grew up in Davenport. The former mayor of St. Louis, Lyda Krewson, was born in Davenport. Sister cities Davenport's sister cities are: Kaiserslautern, Germany (1960) Ilhéus, Brazil (2005) County Carlow, Ireland (2006) Friendship cities Davenport has friendly relations with: Langfang, China (2018) Colón, Mexico See also African Americans in Davenport, Iowa Bucktown, Davenport List of tallest buildings in the Quad Cities Notes References Citations Sources Further reading Plan and Zoning Commission, Historic Preservation in Davenport, Iowa for Inclusion in the Davenport Comprehensive Plan, Davenport (1985) Svendsen, Marlys, Davenport A Pictorial History, (1987) Davenport: G. Bradley Publishing, Inc., Svendsen, Marlys, Davenport Historical Survey Report : A Thematic History of Davenport, Iowa, 1836–1940 with reference to buildings, structures & sites'', (1980) Davenport, External links City of Davenport Cities in Iowa Cities in the Quad Cities County seats in Iowa Iowa populated places on the Mississippi River Quad Cities Cities in Scott County, Iowa 1836 establishments in Michigan Territory
8605
https://en.wikipedia.org/wiki/Stephen%20Donaldson%20%28activist%29
Stephen Donaldson (activist)
Stephen Donaldson (July 27, 1946 – July 18, 1996), born Robert Anthony Martin Jr and also known by the pseudonym Donny the Punk, was an American bisexual rights activist, and political activist. He is best known for his pioneering activism in LGBT rights and prison reform, and for his writing about punk rock and subculture. Childhood and adolescence (1946–1965) The son of a career naval officer, Donaldson spent his early childhood in different seaport cities in the eastern United States and in Germany. Donaldson later described his father Robert, the son of Italian and German immigrants, as a man who "frowned on display of emotion" and his mother Lois as "an English, Scottish Texan, artistic, free-spirited, emotional, impulsive." After his parents' divorce in 1953 when he was seven years old, Donaldson's mother was diagnosed with a mental disorder and abandoned her two sons. She did not contact them again until 1964. At age 12, Donaldson was expelled from Boy Scouts for engaging in sexual behavior with other boys (who, as recipients, were not punished). "The disgrace triggered a family crisis, resolved by sending the boy to live in Germany, where he could be watched over by his stepmother's relatives." He continued homosexual activity, hiding it from adults. In April 1962, at the age of fifteen, Donny returned to the United States to live with his grandparents in West Long Branch, New Jersey. In high school he was news editor of the school paper, an actor, and a student government officer. He also became active in politics as a libertarian conservative, supporting Barry Goldwater for president" and "considered joining the Young Americans for Freedom but was so uptight that he first checked with J. Edgar Hoover by letter to inquire whether the YAF was 'a communist organization, communist subverted, or in danger of becoming either'. Hoover sent back a reply "praising his concern about communism and then opened an FBI file on the boy". (Years later, Donaldson received a copy of his FBI file through the Freedom of Information Act.) Donaldson later wrote about his developing sexual identity: In the summer of 1965, Donaldson moved to Florida to live with his mother. "When Lois discovered young Robert was having an affair with a Cuban man, she decided to punish her son by outing him in letters to her ex-husband and to Columbia University, which Donaldson had planned to attend in the fall." Donaldson ran away to New York, where, he later wrote, "The gays of New York welcomed me enthusiastically, offered hospitality, and 'brought me out' as a 'butch' homosexual (in contrast to the "queens"). Among the Mattachine Society members he met were Julian Hodges, Frank Kameny, and Dick Leitsch. College years (1965–1970) Founding of Student Homophile League Motivation In August 1965, Donaldson "had a social worker call the dean's office to ask whether Columbia would register a known homosexual." After a delay of two weeks, the administration responded that he "would be allowed to register, on condition that he undergo psychotherapy and not attempt to seduce other students." He entered Columbia University that fall and began using the pseudonym Stephen Donaldson so he could be open about his sexuality without embarrassing his father. They both were named Robert Martin, and his father taught mathematics at Rider College in New Jersey. The surname was based on the first name, "Donald", of the baseball teammate who was his first love. His first year of college was difficult: he met no other bisexual students or faculty and had to move from a shared suite to a single room when his suitemates "told the college dean David Truman that they felt uncomfortable living with a homosexual." Apparently ambivalent, they offered Donaldson "great apologies and said they realized they shouldn't feel" unwilling to live with him. In the summer of 1966, Donaldson began a relationship with gay activist Frank Kameny, who had a great influence on him. Donaldson later wrote: In August, Kameny took Donaldson to Cherry Grove on Fire Island, where he "was thrilled to meet another gay Columbia student [James Millham] and to learn that Millham lived with his lover, a New York University student, in one of Columbia's dormitories." Struggle with Columbia for charter That fall, Donaldson suggested to Millham "that they form a Mattachine-like organization on campus, what he envisioned as 'the first chapter of a spreading confederation of student homophile groups.'" At first, Donaldson was unable to gain official recognition for the Student Homophile League (SHL) (now called the Columbia Queer Alliance), as Columbia required a membership list. Donaldson and Millham were the only gay students willing to provide their names. This prevented the group from receiving university funding or holding public events on campus until Donaldson realized that by "recruiting the most prominent student leaders to become pro forma members, he could satisfy the administration without compromising the anonymity of gay students, and Columbia officially chartered the country's first student gay rights group on April 19, 1967," and subsequently the first known LGBT student movement. Publicity and controversy On April 27, an article about the organization appeared in the student paper, the Columbia Spectator, which students "seemed to think ... was some sort of April Fool hoax." It soon became clear that it was not. The Spectator ran an editorial praising the chartering of the group and printed letters from students attacking and defending the decision. At this point, there was no apparent opposition from Columbia faculty or staff. The fledgling group was advised by the university chaplain, the Rev. John D. Cannon, who gave permission for them to hold meetings in his office and later let Donaldson hold office hours there. Despite having "assured the administration that publicity would be kept to a minimum," Donaldson "launched an aggressive public information campaign about SHL and homosexuality", making sure it was covered on Columbia radio station WKCR, where he was a staff member. He also sent out "at least three press releases to several large newspapers, wire services, and magazines with national and international distribution." The group received little coverage until gay rights supporter Murray Schumach saw the Spectator piece and wrote an article, headlined "Columbia Charters Homosexual Group", which appeared on the front page of The New York Times on May 3, 1967: The article also quoted Dr. Harold E. Love, the chairman of Columbia's Committee on Student Organizations, who said there was no reason to deny the request once they had determined it was a "bona fide student organization." The article noted that "[f]unds were said to have been supplied for the organization by some Columbia alumni who were reported to have learned about it from advertisements in magazines for homosexuals" and that Donaldson said that the group "maintains liaison" with, but is not controlled by, outside homosexual groups. The alumnus supporter was Foster Gunnison Jr., a founding member of the North American Conference of Homophile Organizations, with whom Donaldson had strategized about getting the organization approved. Gunnison "sent the administration a letter of support and made a cash contribution". Historian David Eisenbach argued in Gay Power: An American Revolution that "much of the SHL's influence grew out of the media attention it attracted.... Within a week [of the New York Times story], media outlets across the country had homed in, with coverage ranging from favorable to neutral to The Gainesville Sun'''s 'Student Group Seeks Rights for Deviants.'". As a result of the publicity, there were "[s]harp [verbal] clashes" between Columbia officials and the SHL. Brett Beemyn wrote about the backlash: A surprising source of opposition to Donaldson and the SHL was the Mattachine Society of New York (MSNY), whose president Dick Leitsch "resented the media attention that SHL had generated". With the unanimous support of the board, Leitsch contacted "Frank Hogan, the Manhattan District Attorney and a Member of the Columbia Board of Trustees to advise him on how to undermine SHL." In a letter to Hogan, Leitsch wrote: Donaldson was defended by homophile leaders Barbara Gittings, Frank Kameny, and Forest Gunnison, although Eisenbach recorded that Gunnison acknowledged Donaldson's 'tendencies toward arbitrariness and manipulation.' Subsequent chapters and organizations The publicity also led students at other universities to contact Donaldson about starting chapters. In 1968, Donaldson certified SHL chapters at Cornell University, led by Jearld Moldenhauer and advised by radical priest Daniel Berrigan; New York University, headed by Rita Mae Brown; and Stanford University. In 1969, chapters were started at the Massachusetts Institute of Technology by Stan Tillotson, San Francisco State University, and Rutgers University by African American Lionel Cuffie. The University of Massachusetts Amherst gained a chapter in 1970. Other early campus gay groups outside the SHL network included the Boston University Homophile Committee, Fight Repression of Erotic Expression (FREE) at the University of Minnesota, and Homosexuals Intransigent at the City College of New York. Donaldson was "heavily involved throughout the rest of the 1960s not only as national leader of the Student Homophile League but also as an elected officer of the North American Conference of Homophile Organizations (NACHO) and of its Eastern Regional subsidiary". By 1971, there were an estimated 150 gay student groups at colleges and universities "often with official sanction and with remarkable acceptance from fellow students". Writing career Donaldson began his writing career in college by working summers as a reporter for the Associated Press and The Virginian-Pilot and writing a regular column for the New York newsmagazine Gay Power and occasional reports for The Advocate. He also worked summers as a legislative intern in the offices of U.S. Representatives Howard H. Callaway (Republican, Georgia) and Donald E. Lukens (Republican, Ohio). Frank Kameny arranged his first internship, which was in the summer of 1966. In New York, Donaldson funded "his education by working as a hustler, first at the infamous intersection of Fifty-third Street and Third Avenue, then as a call boy through a house. He claimed to have serviced several famous clients, including Rock Hudson and Roy Cohn." Other countercultural activity While at Columbia, Donaldson "experimented with cannabis and LSD" and described himself as "ordained in the psychedelic church," going on to guide first-time LSD users. He wrote that he became a liberal in 1967 in response to the Kerner Report on racism towards blacks in the United States and went on to become a "full-fledged hippy-valued radical." He was arrested twice for participating in anti-war protests at Columbia, including a "liberation" of Columbia president Grayson Kirk's office, spending an uneventful night in jail in 1968. Discomfort with gay liberation movement In 1966, Donaldson fell in love with a woman, Judith "JD Rabbit" Jones (whom he later considered his "lifetime companion") and began to identify as bisexual. His "growing feeling of discomfort with biphobia in the homophile/gay liberation movement was a major factor" in his deciding to quit the movement and enlist in the Navy after graduating from Columbia in 1970. Military experience (1970–1972) Donaldson had a longstanding desire to join the Navy, even buying a sailor's uniform during college, in which he cruised the city and pretended to be a serviceman on a visit to a naval base in Pensacola, Florida, and maintained a "lifelong identification with sailors and seafaring." After graduating from Columbia in 1970, he enlisted and served as a radioman at a NATO base in Italy with an unblemished record until "he wrote to a former shipmate, Terry Fountain, about his latest sexual adventures [with both women and men] at his current home port of Naples, Italy". After Fountain left the letter unattended on his desk, someone turned it over to the Naval Investigative Service, which allegedly coerced Fountain into signing a statement that he had sex with Donaldson, which Fountain later recanted. In 1971, "the Navy announced its intention to release [Donaldson] by General Discharge on grounds of suspected homosexual involvement." As Randy Shilts wrote in Conduct Unbecoming: Gays and Lesbians in the US Military: These supporters included six congressional representatives, including New York's Bella Abzug (who called his case a "witch-hunt") and Edward Koch; senators Richard Schweiker of Pennsylvania and Sam Ervin of North Carolina; the president of the American Psychiatric Association (APA), Judd Marmor (who had been "influential in having homosexuality removed from the APA's official list of clinical disorders"); Chief of Naval Operations Admiral Elmo R. Zumwalt Jr.; and the American Civil Liberties Union, which provided a staff attorney to represent him. Despite the support, he received a general discharge in 1972. Donaldson continued to fight, and, in 1977, his discharge was upgraded to "honorable" as part of "President Carter's sweeping amnesty program for Vietnam-era draft evaders, deserters, and service members", at which time: According to Eisenbach: Bisexual activism (1972–1977) Donaldson later summarized his military experience and the subsequent transition in his life: Donaldson wrote about his experience at the conference later that summer: This group adopted by consensus the "Ithaca Statement on Bisexuality". After a series of meetings, the Committee of Friends on Bisexuality was formed, with Donaldson (using the name Bob Martin) as its chair until he left the Quakers in 1977. Donaldson was involved in the New York bisexual movement in the mid-1970s, for example appearing in 1974 on a New York Gay Activists Alliance panel with Kate Millet. Donaldson propounded the belief that ultimately bisexuality would be perceived as much more threatening to the prevailing sexual order than homosexuality, because it potentially subverted everyone's identity (the idea that everyone is potentially bisexual was widespread) and could not, unlike exclusive homosexuality, be confined to a segregated, stigmatized and therefore manageable ghetto. He and bisexual activist Brenda Howard and gay activist L. Craig Schoonmaker are credited with popularizing the word "Pride" to describe LGBT Pride celebrations that are now held around the world every June.Dynes, Wayne R. Pride (trope), Homolexis Washington jail experiences and aftermath (1973) Demonstrations and incarcerations After being discharged from the Navy in 1972, Donaldson moved to Washington, D.C., where he "worked as Pentagon correspondent for the Overseas Weekly, a privately owned newspaper distributed to American servicemen stationed in Europe". Donaldson considered himself a Quaker and took part in the Langley Hill Monthly Meeting, where he was part of a group influenced by "a series of pray-ins at the White House sponsored by the Community for Creative Non-Violence (CCNV)" who felt a call to "hold a memorial meeting for worship at the White House to commemorate the nuclear bombing of Nagasaki [on its 28th anniversary] and for the victims of all wars and violence" on August 9, 1973. The protesters (referred to as the "White House Seven") were arrested for unlawful entry and released on bail except for Donaldson, who refused and spent the night in the D.C. jail before being released by a judge the next morning. On August 14 Donaldson was one of 66 demonstrators (including Daniel Berrigan) who took part in a CCNV-sponsored pray-in at the White House protesting the bombing of Cambodia, where he was again arrested. Donaldson again refused to post bail. In a 1974 account under the pseudonym Donald Tucker, he explained: Liddy wrote in his autobiography that he heard that Donaldson worked for The Washington Post, suspected him of being in prison "to try to steal a march[(?)]" on Woodward and Bernstein by getting a first hand story", and expressed the wish that he be transferred elsewhere. However, Donaldson himself in "The Punk Who Wouldn't Shut Up", states that guard captain Clinton Cobb had him moved to the most dangerous cell-block in the prison and his subsequent rapes arranged as he believed him to be writing a piece on prison corruption for The Washington Post. That night, Donaldson was lured into a cell by a prisoner who claimed that he and his friends wanted to 'discuss pacifism' with him in their cells. He was then anally and orally raped dozens of times by an estimated 45 male inmates. He suffered additional abuse a second night before he escaped from his tormentors (two of whom were pimping him to the others for cigarettes) and collapsed, sobbing, at the cell block gate where guards retrieved him. After a midnight examination at D.C. General Hospital (during which he remained handcuffed) he was returned to the jail hospital, untreated either for physical injury or emotional trauma. Donaldson later claimed that the guards told him he'd been deliberately set up by Captain Cobb. The following morning, Lucy Witt, one of the White House Seven, posted his bond and took him to a doctor. Publicity and hearings On August 24 the next day, Donaldson held a press conference, becoming the first male prison-rape survivor to publicly recount his experiences; this resulted in "massive and prolonged" publicity (under his legal name, Robert Martin). All three Washington newspapers carried lengthy stories; newspapers from Hartford to Miami picked it up from wire services, and all three network-affiliated TV stations carried filmed interviews. One television station and one newspaper carried editorials. Under the headline "Nightmares at D.C. Jail," the Star-News wrote: "....It is particularly ironic that the victim of this latest nightmare chose to go to the jail rather than post collateral because he 'wanted to understand at an experience level what the prison system is all about.' He survived the lesson but only just. And being a man of uncommon understanding, he may also survive its after-effects." On August 28 Donaldson met with attorney William Schaffer, who agreed to represent him in a possible civil suit against the D.C. Department of Corrections with the goal of pressuring officials to make major improvements to the jail system. Donaldson wrote the following year about this "time of agony": After deliberations with the Langley Hill Meeting, Donaldson decided on October 20 not to file a civil suit and not to cooperate with the grand jury inquiry into a criminal suit against his attackers. Trial outcomes Donaldson and the rest of the White House Seven defended themselves against the August 9 charge of illegal entry; they were found guilty and sentenced on September 26 to "the choice of $25 or five days in jail or a one-year unsupervised probation conditional on a promise not to violate any local, state or federal law during that period". Donaldson rejected the probation outright. "I cannot promise to abide by all the laws of the United States", he said, "because if there is an unjust law that has to be broken to further divine purposes, I will break it". At first Donaldson chose to go to jail rather than pay the fine, which he viewed as cooperating with the government. He changed his mind after finding out he would be returned to the same jail in Washington, D.C. He regretfully said: "My conscience tells me I should have gone (to jail), but I was shaking all over. It was obvious I just couldn't go through it again. I couldn't go back." As for the August 14 charge which led to his traumatic imprisonment, Donaldson refused to plead (unlike most of those arrested, who pleaded no contest) and went to trial alone on September 28. Representing himself, Donaldson testified on legal, moral and religious issues (including an explanation of karma and of silent meditation). When the jury returned a not guilty verdict on October 1, there was much rejoicing in the small courtroom. Effect on Donaldson The injuries to Donaldson's rectum were so severe that they required surgery, and he had to spend a week in the Washington D.C. Veterans' Hospital. He later said: "The government sewed up the tears in my rectum which the government occasioned." In a 1974 account in the Friends Journal, Donaldson asked: In 1982, Donaldson wrote about his lack of success in getting needed psychological counseling after the rapes: Donaldson wrote that he was aided in his sexual recovery by an understanding woman who helped him regain his confidence. After a year and a half, he returned to his prior level of sexual activity. In 1975, "the suppressed emotions began to rise to the level of consciousness, primarily in the form of anger, aggression, and a vigorous reassertion of [his] own masculinity," leading him to join a male consciousness raising group and then, in 1976, to pursue "individual Gestalt therapy (not being able to afford anything else) with a lay therapist." Subsequent arrests and incarcerations (1976–1990) Acceptance of "punk" role (1976) While traveling in late 1976, Donaldson was arrested after urinating in a motel parking lot, then was charged with possession after the police searched his hotel room and found cannabis. He was placed in a small cell block with four white and eight black prisoners, most of them Marines from a nearby base, who demanded sexual services. Donaldson later wrote: Donaldson was pleasantly surprised that they treated him not with the contempt he expected but with genuine warmth and affection. Grateful for their kindness and protection, Donaldson decided to embrace his role as "punk" and do his best to keep his men happy. After the black prisoners fought the white Marines over him, Donaldson was placed in solitary confinement, where he remained until his bail was posted. Donaldson was defended against the possession charge by the chief counsel of the state chapter of the American Civil Liberties Union. The case was thrown out due to unconstitutional police behavior. Adoption of jailhouse attitudes (1977) In the spring of 1977, Donaldson became depressed enough to cut his wrist and arranged to get himself arrested for sale of LSD in Norfolk, Virginia, with the hope, he later wrote, "to find myself being wanted and needed, to find the warm security I had experienced with the marines in the county jail." Donaldson was placed in the city jail, where he was gang-raped nightly until the guards were alerted and he was put in solitary confinement for his protection (to which Donaldson vigorously objected, believing the loss of rights and privileges unfair). After being released into a cell with blacks (who had allegedly paid $5 to receive him), Donaldson was again raped and "paralyzed with terror, the emotions of D.C. Jail overwhelming [him]", he fought his assailant, for which he was returned to solitary. After being released into a white cell, he was greeted: "Why, it's Donny the Punk!", giving him his nickname. Donaldson experienced another mental shift: Donaldson was eventually claimed by a cellmate, Terry, who treated him with kindness. The two had a cell to themselves when a frightened newcomer was moved in and, with Terry's consent, Donaldson decided to emotionally manipulate the newcomer into becoming his own punk. Donaldson wrote: After several months, Donaldson's case was dropped by the prosecution after the arresting officer's suicide. Donaldson wrote: The darkness on the edge of society (1980–1984) Donaldson continued to suffer from depression, insomnia, and panic attacks in the late 1970s, and attempted suicide in 1977, the year after the suicide of his mother Lois Vaugahn. In 1980, Donaldson "hit rock bottom" and committed a semi-deranged incident at a Veterans' Hospital in the Bronx. Having been denied medicine for a sexually transmitted disease, Donaldson returned with a gun and fired it. During the subsequent trial, Donaldson heavily criticized the United States Government's policies. The judge ultimately found him guilty. Although nobody was hurt, Donaldson was convicted of assault with intent to commit murder and sentenced to ten years in federal prison. He was guilty of counts 1–6, "Unlawfully, willfully and knowingly within the special maritime and territorial jurisdiction of the United States did seize, confine, inveigle, decoy, kidnap and abduct and hold for ransom and reward and otherwise a person and did commit assault with intent to commit murder, in that while at a Hospital". In a 1982 essay written from jail, Donaldson described the event: Less than a year into his term, Donaldson had been "raped once, assaulted once, and claimed by five different men" in jail and was fearing his upcoming transfer to his first maximum security prison, where he went on to spend over a year in protective custody, which he described as "a solitary retreat" in a letter to Bo Lozoff. Lozoff was leader of the Prison-Ashram Project, which encourages convicts to use their prisons as ashrams (religious retreats) for spiritual growth. In their correspondence, Donaldson expressed his desire to help other survivors but lamented that: Donaldson was released on parole in April 1984 and returned to New York City. He violated his parole by visiting India for religious study in 1987–1988, which led to his final prison term, in federal prison, in 1990. Stop Prisoner Rape Through Bo Lozoff, Donaldson met Tom Cahill, whose correspondence with Lozoff also appeared in We're All Doing Time. Cahill was "an Air Force veteran turned peace activist when [he] was jailed for civil disobedience in San Antonio, Texas in 1968. For the first twenty-four hours, [he] was beaten, gang-raped and otherwise tortured", allegedly as part of the Federal Bureau of Investigation's Counter Intelligence Program (COINTELPRO) due to Cahill's anti-Vietnam War activity. Around 1983, Cahill resurrected the defunct organization "People Organized to Stop Rape of Imprisoned Persons" (POSRIP), which had been founded in 1980 by Russell Smith. In 2004, Cahill recollected: Donaldson became president of Stop Prisoner Rape, Inc. (SPR), which he and Cahill incorporated in the mid-1990s from POSRIP. The organization (since 2008 known as Just Detention International) helps prisoners deal with the psychological and physical trauma of rape, and works to prevent rape from happening. Donaldson was perhaps the first activist against male rape in the United States to gain significant media attention. Writing on behalf of SPR, he appeared on the Op-Ed page of The New York Times, as well as in other major media. He testified on behalf of the American Civil Liberties Union in its case ACLU et al. v. Reno, which went to the U.S. Supreme Court. Activism and writing As "Donny the Punk", Donaldson was already a respected writer and personality in the punk and anti-racist skinhead subcultures. He had published in punk zines such as Maximumrocknroll, Flipside and J.D.s. In the mid-1980s, Donny was the chief organizer of The Alternative Press & Radio Council (APRC), which brought together members of the punk community (such as fanzine editors and college radio DJs) of New York City, New Jersey, and Connecticut. This co-operative group met on Sundays before the weekly CBGB Sunday hardcore matinees and organized several benefit concerts. The group published a newsletter, and released a compilation LP on Mystic Records in 1986, which was entitled Mutiny On The Bowery. The compilation featured live recordings from the group's benefit concerts. Among other active members of the APRC were WFMU-FM DJ Pat Duncan, Maximumrocknroll columnist Mykel Board and Jersey Beat editor Jim Testa. Donaldson was associate editor of the Encyclopedia of Homosexuality'' (Garland Publishing, 1990). He was editor-in-chief of a concise edition of the encyclopedia, which remains unpublished. Legacy and honors Donaldson died of AIDS in 1996 at the age of 49. After Donaldson's death, the Columbia Queer Alliance renamed its student lounge in his honor. SPR continued to work for prisoners' rights. It contributed to gaining the passage of the first US law against rape in prison Prison Rape Elimination Act of 2003. The issue of rape and prisoners' rights continues to receive national and state attention. See also Sexual orientation and the United States military Footnotes External links Stop Prisoner Rape, Inc. is now Just Detention International Writings by and about Stephen Donaldson at Just Detention International website (previously SPR.org) Stephen Donaldson papers at the New York Public Library (pdf) 1946 births 1996 deaths American LGBT military personnel HIV/AIDS activists AIDS-related deaths in New York (state) American people convicted of assault American military personnel discharged for homosexuality American Christian pacifists American Quakers Bisexual men Bisexual rights activists Bisexual military personnel Columbia College (New York) alumni Place of death missing Converts to Quakerism LGBT rights activists from the United States People from West Long Branch, New Jersey Prison reformers LGBT Protestants LGBT people from New York (state) American people of German descent American people of Italian descent Sexual abuse victim advocates Bisexual writers American expatriates in Germany Prisoners and detainees of the United States federal government 20th-century Quakers 20th-century LGBT people
8613
https://en.wikipedia.org/wiki/Diaspora
Diaspora
A diaspora ( ) is a scattered population whose origin lies in a separate geographic locale. Historically, the word diaspora was used to refer to the mass dispersion of a population from its indigenous territories, specifically the dispersion of Jews. Whilst the word was originally used to describe the forced displacement of certain peoples, "diasporas" is now generally used to describe those who identify with a "homeland", but live outside of it. Some notable diasporas are the Assyrian Diaspora which originated during and after the Arab conquest of Iraq, Syria, Turkey and Iran, and continued in the aftermath of the Assyrian genocide; the southern Chinese and Indians who left their homelands during the 19th to 20th century; the Irish who left Ireland during and after the Great Famine; the Scots who emigrated on a large scale after the Highland and Lowland Clearances; the Romani from India; the Italian diaspora and the Mexican diaspora; the exile and deportation of Circassians; the Palestinian diaspora following the flight or expulsion of Arabs from Palestine; the Armenian Diaspora following the Armenian genocide; the Lebanese Diaspora due to the Lebanese Civil War; the fleeing of Greeks from Turkey after the fall of Constantinople, the later Greek genocide, and the Istanbul pogroms, and the emigration of Anglo-Saxon warriors and their families after the Norman Conquest, primarily to the Byzantine Empire. Recently, scholars have distinguished between different kinds of diaspora, based on its causes such as colonialism, trade or labor migrations, or by the kind of social coherence within the diaspora community and its ties to the ancestral lands. Some diaspora communities maintain strong political ties with their homeland. Other qualities that may be typical of many diasporas are thoughts of return, keeping ties back home (country of origin) relationships with other communities in the diaspora, and lack of full integration into the host countries. Diasporas often maintain ties to the country of their historical affiliation and influence the policies of the country where they are located. As of 2019, according to the United Nations, the Indian diaspora is the world's largest diaspora with a population of 17.5 million, followed by the Mexican diaspora with a population of 11.8 million and the Chinese diaspora with a population of 10.7 million. Etymology The term is derived from the Greek verb διασπείρω (diaspeirō), "I scatter", "I spread about" which in turn is composed of διά (dia), "between, through, across" and the verb σπείρω (speirō), "I sow, I scatter". In Ancient Greece the term διασπορά (diaspora) hence meant "scattering" and was inter alia used to refer to citizens of a dominant city-state who emigrated to a conquered land with the purpose of colonization, to assimilate the territory into the empire. An example of a diaspora from classical antiquity is the century-long exile of the Messenians under Spartan rule and the Ageanites as described by Thucydides in his "history of the Peloponnesian wars." Its use began to develop from this original sense when the Hebrew Bible was translated into Greek; the first mention of a diaspora created as a result of exile is found in the Septuagint, first in Deuteronomy 28:25, in the phrase , esē en diaspora en pasais tais basileiais tēs gēs, translated to mean "thou shalt be a dispersion in all kingdoms of the earth" and secondly in Psalms 146(147).2, in the phrase , oikodomōn Ierousalēm ho Kyrios kai tas diasporas tou Israēl episynaxē, translated to mean "The Lord doth build up Jerusalem: he gathereth together the outcasts of Israel". So after the Bible's translation into Greek, the word diaspora would then have been used to refer to the Northern Kingdom exiled between 740 and 722 BC from Israel by the Assyrians, as well as Jews, Benjaminites, and Levites exiled from the Southern Kingdom in 587 BC by the Babylonians, and from Roman Judea in 70 AD by the Roman Empire. It subsequently came to be used to refer to the historical movements and settlement patterns of the dispersed indigenous population of Israel. When relating to Judaism and capitalized without modifiers (that is simply, the Diaspora), the term refers specifically to the Jewish diaspora; when uncapitalized diaspora may refer to refugee or immigrant populations of other origins or ethnicities living "away from an indigenous or established homeland". The wider application of diaspora evolved from the Assyrian two-way mass deportation policy of conquered populations to deny future territorial claims on their part. Definition According to the Oxford English Dictionary Online, the first known recorded usage of the word diaspora in the English language was in 1876 referring "extensive diaspora work (as it is termed) of evangelizing among the National Protestant Churches on the continent". The term became more widely assimilated into English by the mid 1950s, with long-term expatriates in significant numbers from other particular countries or regions also being referred to as a diaspora. An academic field, diaspora studies, has become established relating to this sense of the word. In English, capitalized, and without modifiers (that is simply, the Diaspora), the term refers specifically to the Jewish diaspora in the context of Judaism. In all cases, the term diaspora carries a sense of displacement. The population so described finds itself for whatever reason separated from its national territory, and usually, its people have a hope, or at least a desire, to return to their homeland at some point if the "homeland" still exists in any meaningful sense. Some writers have noted that diaspora may result in a loss of nostalgia for a single home as people "re-root" in a series of meaningful displacements. In this sense, individuals may have multiple homes throughout their diaspora, with different reasons for maintaining some form of attachment to each. Diasporic cultural development often assumes a different course from that of the population in the original place of settlement. Over time, remotely separated communities tend to vary in culture, traditions, language, and other factors. The last vestiges of cultural affiliation in a diaspora is often found in community resistance to language change and in the maintenance of traditional religious practice. Scholarly work and expanding definition William Safran in an article published in 1991, set out six rules to distinguish diasporas from migrant communities. These included criteria that the group maintains a myth or collective memory of their homeland; they regard their ancestral homeland as their true home, to which they will eventually return; being committed to the restoration or maintenance of that homeland, and they relate "personally or vicariously" to the homeland to a point where it shapes their identity. While Safran's definitions were influenced by the idea of the Jewish diaspora, he recognised the expanding use of the term. Rogers Brubaker (2005) also notes that the use of the term diaspora has been widening. He suggests that one element of this expansion in use "involves the application of the term diaspora to an ever-broadening set of cases: essentially to any and every nameable population category that is to some extent dispersed in space". Brubaker has used the WorldCat database to show that 17 out of the 18 books on diaspora published between 1900 and 1910 were on the Jewish diaspora. The majority of works in the 1960s were also about the Jewish diaspora, but in 2002 only two out of 20 books sampled (out of a total of 253) were about the Jewish case, with a total of eight different diasporas covered. Brubaker outlines the original use of the term diaspora as follows: Most early discussions of the diaspora were firmly rooted in a conceptual 'homeland'; they were concerned with a paradigmatic case, or a small number of core cases. The paradigmatic case was, of course, the Jewish diaspora; some dictionary definitions of diaspora, until recently, did not simply illustrate but defined the word with reference to that case. Brubaker argues that the initial expansion of the use of the phrase extended it to other, similar cases, such as the Armenian and Greek diasporas. More recently, it has been applied to emigrant groups that continue their involvement in their homeland from overseas, such as the category of long-distance nationalists identified by Benedict Anderson. Brubaker notes that (as examples): Albanians, Basques, Hindu Indians, Irish, Japanese, Kashmiri, Koreans, Kurds, Palestinians, and Tamils have been conceptualized as diasporas in this sense. Furthermore, "labor migrants who maintain (to some degree) emotional and social ties with a homeland" have also been described as diasporas. In further cases of the use of the term, "the reference to the conceptual homeland – to the 'classical' diasporas – has become more attenuated still, to the point of being lost altogether". Here, Brubaker cites "transethnic and transborder linguistic categories...such as Francophone, Anglophone and Lusophone 'communities'", along with Hindu, Sikh, Buddhist, Confucian, Huguenot, Muslim and Catholic 'diasporas'. Brubaker notes that, , there were also academic books or articles on the Dixie, white, liberal, gay, queer and digital diasporas. Some observers have labeled evacuation from New Orleans and the Gulf Coast in the wake of Hurricane Katrina the New Orleans diaspora, since a significant number of evacuees have not been able to return, yet maintain aspirations to do so. Agnieszka Weinar (2010) notes the widening use of the term, arguing that recently, "a growing body of literature succeeded in reformulating the definition, framing diaspora as almost any population on the move and no longer referring to the specific context of their existence". It has even been noted that as charismatic Christianity becomes increasingly globalized, many Christians conceive of themselves as a diaspora, and form an imaginary that mimics salient features of ethnic diasporas. Professional communities of individuals no longer in their homeland can also be considered diaspora. For example, science diasporas are communities of scientists who conduct their research away from their homeland. In an article published in 1996, Khachig Tölölyan argues that the media have used the term corporate diaspora in a rather arbitrary and inaccurate fashion, for example as applied to “mid-level, mid-career executives who have been forced to find new places at a time of corporate upheaval” (10) The use of corporate diaspora reflects the increasing popularity of the diaspora notion to describe a wide range of phenomena related to contemporary migration, displacement and transnational mobility. While corporate diaspora seems to avoid or contradict connotations of violence, coercion, and unnatural uprooting historically associated with the notion of diaspora, its scholarly use may heuristically describe the ways in which corporations function alongside diasporas. In this way, corporate diaspora might foreground the racial histories of diasporic formations without losing sight of the cultural logic of late capitalism in which corporations orchestrate the transnational circulation of people, images, ideologies and capital. African diasporas One of the largest diasporas of modern times is that of Sub-Saharan Africans, which dates back several centuries. During the Atlantic slave trade, 10.7 million people from West Africa survived transportation to arrive in the Americas as slaves. Currently, migrant Africans can only enter thirteen African countries without advanced visas. In pursuing a unified future, the African Union (AU) will allow people to move freely between the 54 countries of the AU under a visa free passport and encourage migrants to return to Africa. From the 8th through the 19th centuries, the Arab slave trade dispersed millions of Africans to Asia and the islands of the Indian Ocean. The Islamic slave trade also has resulted in the creation of communities of African descent in India, most notably the Siddi, Makrani and Sri Lanka Kaffirs. In the early 500s AD incursions by the kingdom of Aksum in Himyar led to the formation of African diasporic communities. Asian diasporas The largest Asian diaspora, and in the world, is the Indian diaspora. The overseas Indian community, estimated at over 17.5 million, is spread across many regions in the world, on every continent. It constitutes a diverse, heterogeneous and eclectic global community representing different regions, languages, cultures, and faiths (see Desi). Similarly, the Romani, numbering roughly 12 million in Europe trace their origins to the Indian subcontinent, and their presence in Europe is first attested to in the Middle Ages. The earliest known Asian diaspora of note is the Jewish diaspora. With roots in the Babylonian Captivity and later migration under Hellenism, the majority of the diaspora can be attributed to the Roman conquest, expulsion, and enslavement of the Jewish population of Judea, whose descendants became the Ashkenazim, Sephardim, and Mizrahim of today, roughly numbering 15 million of which 8 million still live in the diaspora, though the number was much higher before Zionist immigration to what is now Israel and the murder of 6 million Jews in the Holocaust. Chinese emigration (also known as the Chinese Diaspora; see also Overseas Chinese) first occurred thousands of years ago. The mass emigration that occurred from the 19th century to 1949 was caused mainly by wars and starvation in mainland China, as well as political corruption. Most migrants were illiterate or poorly educated peasants, called by the now-recognized racial slur coolies (Chinese: 苦力, literally "hard labor"), who migrated to developing countries in need of labor, such as the Americas, Australia, South Africa, Southeast Asia, Malaya and other places. At least three waves of Nepalese diaspora can be identified. The earliest wave dates back to hundreds of years as early marriage and high birthrates propelled Hindu settlement eastward across Nepal, then into Sikkim and Bhutan. A backlash developed in the 1980s as Bhutan's political elites realized that Bhutanese Buddhists were at risk of becoming a minority in their own country. At least 60,000 ethnic Nepalese from Bhutan have been resettled in the United States. A second wave was driven by British recruitment of mercenary soldiers beginning around 1815 and resettlement after retirement in the British Isles and Southeast Asia. The third wave began in the 1970s as land shortages intensified and the pool of educated labor greatly exceeded job openings in Nepal. Job-related emigration created Nepalese enclaves in India, the wealthier countries of the Middle East, Europe, and North America. Current estimates of the number of Nepalese living outside Nepal range well up into the millions. In Siam, regional power struggles among several kingdoms in the region led to a large diaspora of ethnic Lao between the 1700s–1800s by Siamese rulers to settle large areas of the Siamese kingdom's northeast region, where Lao ethnicity is still a major factor in 2012. During this period, Siam decimated the Lao capital, capturing, torturing, and killing the Lao king Anuwongse. European diasporas European history contains numerous diaspora-like events. In ancient times, the trading and colonising activities of the Greek tribes from the Balkans and Asia Minor spread people of Greek culture, religion and language around the Mediterranean and Black Sea basins, establishing Greek city-states in Magna Graecia (Sicily, southern Italy), northern Libya, eastern Spain, the south of France, and the Black Sea coasts. Greeks founded more than 400 colonies. Tyre and Carthage also colonised the Mediterranean. Alexander the Great's the conquest of the Achaemenid Empire marked the beginning of the Hellenistic period, characterized by a new wave of Greek colonization in Asia and Africa, with Greek ruling-classes established in Egypt, southwest Asia and northwest India. Subsequent waves of colonization and migration during the Middle Ages added to the older settlements or created new ones, thus replenishing the Greek diaspora and making it one of the most long-standing and widespread in the world. The Migration-Period relocations, which included several phases, are just one set of many in history. The first phase Migration-Period displacement (between CE 300 and 500) included relocation of the Goths (Ostrogoths and Visigoths), Vandals, Franks, various other Germanic peoples (Burgundians, Lombards, Angles, Saxons, Jutes, Suebi, Alemanni, Varangians and Normans), Alans and numerous Slavic tribes. The second phase, between CE 500 and 900, saw Slavic, Turkic, and other tribes on the move, resettling in Eastern Europe and gradually leaving it predominantly Slavic, and affecting Anatolia and the Caucasus as the first Turkic tribes (Avars, Huns, Khazars, Pechenegs), as well as Bulgars, and possibly Magyars arrived. The last phase of the migrations saw the coming of the Hungarian Magyars. The Viking expansion out of Scandinavia into southern and eastern Europe, Iceland and Greenland. The recent application of the word "diaspora" to the Viking lexicon highlights their cultural profile distinct from their predatory reputation in the regions they settled, especially in the North Atlantic. The more positive connotations associated with the social science term helping to view the movement of the Scandinavian peoples in the Viking Age in a new way. Such colonizing migrations cannot be considered indefinitely as diasporas; over very long periods, eventually, the migrants assimilate into the settled area so completely that it becomes their new mental homeland. Thus the modern Magyars of Hungary do not feel that they belong in the Western Siberia that the Hungarian Magyars left 12 centuries ago; and the English descendants of the Angles, Saxons and Jutes do not yearn to reoccupy the plains of Northwest Germany. In 1492 a Spanish-financed expedition headed by Christopher Columbus arrived in the Americas, after which European exploration and colonization rapidly expanded. Historian James Axtell estimates that 240,000 people left Europe for the Americas in the 16th century. Emigration continued. In the 19th century alone over 50 million Europeans migrated to North and South America. Other Europeans moved to Siberia, Africa, and Australasia. A specific 19th-century example is the Irish diaspora, beginning in the mid-19th century and brought about by An Gorta Mór or "the Great Hunger" of the Irish Famine. An estimated 45% to 85% of Ireland's population emigrated to areas including Britain, the United States of America, Canada, Argentina, Australia, and New Zealand. The size of the Irish diaspora is demonstrated by the number of people around the world who claim Irish ancestry; some sources put the figure at 80 to 100 million. From the 1860s the Circassian people, originally from Europe, were dispersed through Anatolia, Australia, the Balkans, the Levant, North America, and West Europe, leaving less than 10% of their population in the homeland – parts of historical Circassia (in the modern-day Russian portion of the Caucasus). The Scottish Diaspora includes large populations of Highlanders moving to the United States and Canada after the Highland Clearances; as well as the Lowlanders, becoming the Ulster Scots in Ireland and the Scotch-Irish in America. Internal diasporas In the United States of America, approximately 4.3 million people moved outside their home states in 2010, according to IRS tax-exemption data. In a 2011 TEDx presentation, Detroit native Garlin Gilchrist referenced the formation of distinct "Detroit diaspora" communities in Seattle and in Washington, D.C., while layoffs in the auto industry also led to substantial blue-collar migration from Michigan to Wyoming 2005. In response to a statewide exodus of talent, the State of Michigan continues to host "MichAGAIN" career-recruiting events in places throughout the United States with significant Michigan-diaspora populations. In the People's Republic of China, millions of migrant workers have sought greater opportunity in the country's booming coastal metropolises, though this trend has slowed with the further development of China's interior. Migrant social structures in Chinese megacities are often based on place of origin, such as a shared hometown or province, and recruiters and foremen commonly select entire work-crews from the same village. In two separate June 2011 incidents, Sichuanese migrant workers organized violent protests against alleged police misconduct and migrant-labor abuse near the southern manufacturing hub of Guangzhou. Much of Siberia's population has its origins in internal migration – voluntary or otherwise – from European Russia since the 16th century. Twentieth century The twentieth century saw huge population movements. Some involved large-scale transfers of people by government action. Some migrations occurred to avoid conflict and warfare. Other diasporas formed as a consequence of political developments, such as the end of colonialism. World War II, colonialism and post-colonialism As World War II (1939-1945) unfolded, Nazi German authorities deported and killed millions of Jews; they also enslaved or murdered millions of other people, including Ukrainians, Russians and other Slavs. Some Jews fled from persecution to unoccupied parts of western Europe or to the Americas before borders closed. Later, other eastern European refugees moved west, away from Soviet expansion and from the Iron Curtain regimes established as World War II ended. Hundreds of thousands of these anti-Soviet political refugees and displaced persons ended up in western Europe, Australia, Canada, and the United States of America. After World War II, the Soviet Union and Communist-controlled Poland, Czechoslovakia, Hungary and Yugoslavia expelled millions of ethnic Germans, most them descendants of immigrants who had settled in those areas centuries previously. This was allegedly in reaction to German Nazi invasions and to pan-German attempts at annexation. Most of the refugees moved to the West, including western Europe, and with tens of thousands seeking refuge in the United States. Spain sent many political activists into exile during the rule of Franco's military regime from 1936 to his death in 1975. Prior to World War II and the re-establishment of Israel in 1948, a series of anti-Jewish pogroms broke out in the Arab world and caused many to flee, mostly to Palestine/Israel. The 1947–1949 Palestine war likewise saw at least 750,000 Palestinians expelled or forced to flee from the newly forming Israel. Many Palestinians continue to live in refugee camps in the Middle East, while others have resettled in other countries. The 1947 Partition in the Indian subcontinent resulted in the migration of millions of people between India, Pakistan and present-day Bangladesh. Many were murdered in the religious violence of the period, with estimates of fatalities up to 2 million people. Thousands of former subjects of the British Raj went to the UK from the Indian subcontinent after India and Pakistan became independent in 1947. From the late 19th century, and formally from 1910, Japan made Korea a Japanese colony. Millions of Chinese fled to western provinces not occupied by Japan (that is, in particular, Szechuan/Szechwan and Yunnan in the Southwest and Shensi and Kansu in the Northwest) and to Southeast Asia. More than 100,000 Koreans moved across the Amur River into the Russian Far East (and later into the Soviet Union) away from the Japanese. The Cold War and the formation of post-colonial states During and after the Cold War-era, huge populations of refugees migrated from conflict, especially from then-developing countries. Upheaval in the Middle East and Central Asia, some of which related to power struggles between the United States and the Soviet Union, produced new refugee populations that developed into global diasporas. In Southeast Asia, many Vietnamese people emigrated to France and later millions to the United States, Australia and Canada after the Cold War-related Vietnam War of 1955–1975. Later, 30,000 French colons from Cambodia were displaced after being expelled by the 1975-1979 Khmer Rouge regime under Pol Pot. A small, predominantly Muslim ethnic group, the Cham people, long residing in Cambodia, were nearly eradicated. The mass exodus of Vietnamese people from Vietnam from 1975 onwards led to the popularisation of the term "boat people". In Southwest China, many Tibetan people emigrated to India, following the 14th Dalai Lama after the failure of his 1959 Tibetan uprising. This wave lasted until the 1960s, and another wave followed when Tibet opened up to trade and tourism in the 1980s. It is estimated that about 200,000 Tibetans live now dispersed worldwide, half of them in India, Nepal and Bhutan. In lieu of lost citizenship papers, the Central Tibetan Administration offers Green Book identity documents to Tibetan refugees. Sri Lankan Tamils have historically migrated to find work, notably during the British colonial period (1796-1948). Since the beginning of the Sri Lankan Civil War in 1983, more than 800,000 Tamils have been displaced within Sri Lanka as a local diaspora, and over a half-million Tamils have emigrated as the Tamil diaspora to destinations such as India, Australia, New Zealand, Canada, the UK, and Europe. The Afghan diaspora resulted from the 1979 invasion of Afghanistan by the former Soviet Union; both official and unofficial records indicate that the war displaced over 6 million people, resulting in the creation of the second-largest refugee population worldwide (2.6 million in 2018). Many Iranians fled the 1979 Iranian Revolution which culminated in the fall of the USA/British-ensconced Shah. In Africa, a new series of diasporas formed following the end of colonial rule. In some cases, as countries became independent, numerous minority descendants of Europeans emigrated; others stayed in the lands which had been family homes for generations. Uganda expelled 80,000 South Asians in 1972 and took over their businesses and properties. The 1990-1994 Rwandan Civil War between rival social/ethnic groups (Hutu and Tutsi) turned deadly and produced a mass efflux of refugees. In Latin America, following the 1959 Cuban Revolution and the introduction of communism, over a million people have left Cuba. A new Jamaican diaspora formed around the start of the 21st century. More than 1 million Dominicans live abroad, a majority living in the US. A million Colombian refugees have left Colombia since 1965 to escape that country's violence and civil wars. In South America, thousands of Argentine and Uruguay refugees fled to Europe during periods of military rule in the 1970s and 1980s. In Central America, Nicaraguans, Salvadorans, Guatemalans, and Hondurans have fled conflict and poor economic conditions. Hundreds of thousands of people fled from the Rwandan genocide in 1994 and moved into neighboring countries. Between 4 and 6 million have emigrated from Zimbabwe beginning in the 1990s especially since 2000, greatly increasing the Zimbabwean diaspora due to a protracted socioeconomic crisis, forming large communities in South Africa, the United Kingdom, Australia, Canada, and smaller communities in the United States, New Zealand and Ireland, where their skills have been in high demand. The long war in Congo, in which numerous nations have been involved, has also spawned millions of refugees. A South Korean diaspora movement during the 1990s caused the homeland fertility rate to drop when a large amount of the middle class emigrated, as the rest of the population continued to age. To counteract the change in these demographics, the South Korean government initiated a diaspora-engagement policy in 1997. Twenty-first century Middle Eastern conflicts Following the Iraq War, nearly 3 million Iraqis had been displaced as of 2011, with 1.3 million within Iraq and 1.6 million in neighboring countries, mainly Jordan and Syria. The Syrian Civil War has forced further migration, with at least 4 million displaced as per UN estimates. Venezuelan refugee crisis Following the presidency of Hugo Chávez and the establishment of his Bolivarian Revolution, over 1.6 million Venezuelans emigrated from Venezuela in what has been called the Bolivarian diaspora. The analysis of a study by the Central University of Venezuela titled Venezuelan Community Abroad. A New Method of Exile by El Universal states that the Bolivarian diaspora in Venezuela has been caused by the "deterioration of both the economy and the social fabric, rampant crime, uncertainty and lack of hope for a change in leadership in the near future". Diaspora Internet services There are numerous web-based news portals and forum sites dedicated to specific diaspora communities, often organized on the basis of an origin characteristic and a current location characteristic. The location-based networking features of mobile applications such as China's WeChat have also created de facto online diaspora communities when used outside of their home markets. Now, large companies from the emerging countries are looking at leveraging diaspora communities to enter the more mature market. In popular culture Gran Torino, a 2008 drama starring Clint Eastwood, was the first mainstream American film to feature the Hmong American diaspora. See also List of diasporas List of sovereign states and dependent territories by immigrant population Expulsion of Poles by Nazi Germany Partition of India Armenian genocide Diaspora politics Ethnic cleansing Kurdish refugees The Exodus Expulsions and exoduses of Jews Forced displacement Human migration Long Walk of the Navajo Population transfer Rural exodus State collapse Stateless nation Trail of Tears Ummah Yom HaAliyah Rohingya genocide Expulsion of the Moriscos References Citations Sources Barclay, John M. G. (ed.), Negotiating Diaspora: Jewish Strategies in the Roman Empire, Continuum International Publishing Group, 2004 Baser, B and Swain, A. Diasporas as Peacemakers: Third Party Mediation in Homeland Conflicts with Ashok Swain. International Journal on World Peace 25, 3, September 2008. Braziel, Jana Evans. 2008. Diaspora – an introduction. Malden, MA: Blackwell. Bueltmann, Tanja, et al. eds. Locating the English Diaspora, 1500–2010 (Liverpool University Press, 2012) Forbes, Andrew, and Henley, David, People of Palestine (Chiang Mai: Cognoscenti Books, 2012), Galil, Gershon, & Weinfeld, Moshe, Studies in Historical Geography and Biblical Historiography: Presented to Zekharyah Ḳalai, Brill, 2000 Jayasuriya, S. and Pankhurst, R. eds. (2003) The African Diaspora in the Indian Ocean. Trenton: Africa World Press Kantor, Mattis, The Jewish timeline encyclopedia: a year-by-year history from Creation to the Present, (New updated edition), Jason Aronson, Northvale NJ, 1992 Kenny, Kevin, Diaspora: A Very Short Introduction. New York: Oxford University Press, 2013. Luciuk, Lubomyr, "Searching for Place: Ukrainian Displaced Persons, Canada and the Migration of Memory," University of Toronto Press, 2000. Mahroum, Sami & De Guchteneire, P. (2007), Transnational Knowledge Through Diaspora Networks-Editorial. International Journal of Multicultural Societies 8 (1), 1–3 Mahroum, Sami; Eldridge, Cynthia; Daar, Abdallah S. (2006). Transnational diaspora options: How developing countries could benefit from their emigrant populations. International Journal on Multicultural Societies, 2006. Nesterovych, Volodymyr (2013). "Impact of ethnic diasporas on the adoption of normative legal acts in the United States". Viche. 8: 19–23. Oonk, G, Global Indian Diasporas: trajectories of migration and theory, Amsterdam University Press, 2007 Free download here Shain, Yossi, Kinship and Diasporas in International Politics, Michigan University Press, 2007 Tetlow, Elisabeth Meier, Women, Crime, and Punishment in Ancient Law and Society, Continuum International Publishing Group, 2005 Weheliye, Alexander G. "My Volk to Come: Peoplehood in Recent Diaspora Discourse and Afro-German Popular Music." Black Europe and the African Diaspora. Ed. Darlene Clark. Hine, Trica Danielle. Keaton, and Stephen Small. Urbana: U of Illinois, 2009. 161–79. Print. Xharra, B. & Wählisch, M. Beyond Remittances: Public Diplomacy and Kosovo's Diaspora, Foreign Policy Club, Pristina (2012), abstract and free access here. Further reading Gewecke, Frauke. "Diaspora" (2012). University Bielefeld – Center for InterAmerican Studies. External links Livius.org: Diaspora Open access book on Diasporas Integration: Building Inclusive Societies (IBIS) UN Alliance of Civilizations online community on Good Practices of Integration of Migrants across the World Diasporic Trajectories: Transnational Cultures in the 21st Century Podcast playlist of a seminar series held in 2015 at the University of Edinburgh, School of Literatures, Languages, and Cultures Diaspora studies
8637
https://en.wikipedia.org/wiki/Door
Door
A door is a hinged or otherwise movable barrier that allows ingress (entry) into and egress (exit) from an enclosure. The created opening in the wall is a doorway or portal. A door's essential and primary purpose is to provide security by controlling access to the doorway (portal). Conventionally, it is a panel that fits into the doorway (portal) of a building, room, or vehicle. Doors are generally made of a material suited to the door's task. Doors are commonly attached by hinges, but can move by other means, such as slides or counterbalancing. The door may be able to move in various ways (at angles away from the doorway/portal, by sliding on a plane parallel to the frame, by folding in angles on a parallel plane, or by spinning along an axis at the center of the frame) to allow or prevent ingress or egress. In most cases, a door's interior matches its exterior side. But in other cases (e.g., a vehicle door) the two sides are radically different. Many doors incorporate locking mechanisms to ensure that only some people can open them (such as with a key). Doors may have devices such as knockers or doorbells by which people outside announce their presence. (In some countries, such as Brazil, it is customary to clap from the sidewalk to announce one's presence.) Apart from providing access into and out of a space, doors may have the secondary functions of ensuring privacy by preventing unwanted attention from outsiders, of separating areas with different functions, of allowing light to pass into and out of a space, of controlling ventilation or air drafts so that interiors may be more effectively heated or cooled, of dampening noise, and of blocking the spread of fire. Doors can have aesthetic, symbolic, ritualistic purposes. Receiving the key to a door can signify a change in status from outsider to insider. Doors and doorways frequently appear in literature and the arts with metaphorical or allegorical import as a portent of change. History The earliest recorded doors appear in the paintings of Egyptian tombs, which show them as single or double doors, each of a single piece of wood. People may have believed these were doors to the afterlife, and some include designs of the afterlife. In Egypt, where the climate is intensely dry, doors weren't framed against warping, but in other countries required framed doors—which, according to Vitruvius (iv. 6.) was done with stiles (sea/si) and rails (see: Frame and panel), the enclosed panels filled with tympana set in grooves in the stiles and rails. The stiles were the vertical boards, one of which, tenoned or hinged, is known as the hanging stile, the other as the middle or meeting stile. The horizontal cross pieces are the top rail, bottom rail, and middle or intermediate rails. The most ancient doors were made of timber, such as those referred to in the Biblical depiction of King Solomon's temple being in olive wood (I Kings vi. 31–35), which were carved and overlaid with gold. The doors that Homer mentions appear to have been cased in silver or brass. Besides olive wood, elm, cedar, oak and cypress were used. A 5,000-year-old door has been found by archaeologists in Switzerland. Ancient doors were hung by pintles at the top and bottom of the hanging stile, which worked in sockets in the lintel and sill, the latter in some hard stone such as basalt or granite. Those Hilprecht found at Nippur, dating from 2000 BC, were in dolerite. The tenons of the gates at Balawat were sheathed with bronze (now in the British Museum). These doors or gates were hung in two leaves, each about wide and high; they were encased with bronze bands or strips, high, covered with repoussé decoration of figures. The wood doors would seem to have been about thick, but the hanging stile was over diameter. Other sheathings of various sizes in bronze show this was a universal method adopted to protect the wood pivots. In the Hauran in Syria where timber is scarce, the doors were made of stone, and one measuring by is in the British Museum; the band on the meeting stile shows that it was one of the leaves of a double door. At Kuffeir near Bostra in Syria, Burckhardt found stone doors, high, being the entrance doors of the town. In Etruria many stone doors are referred to by Dennis. Ancient Greek and Roman doors were either single doors, double doors, triple doors, sliding doors or folding doors, in the last case the leaves were hinged and folded back. In the tomb of Theron at Agrigentum there is a single four-panel door carved in stone. In the Blundell collection is a bas-relief of a temple with double doors, each leaf with five panels. Among existing examples, the bronze doors in the church of SS. Cosmas and Damiano, in Rome, are important examples of Roman metal work of the best period; they are in two leaves, each with two panels, and are framed in bronze. Those of the Pantheon are similar in design, with narrow horizontal panels in addition, at the top, bottom and middle. Two other bronze doors of the Roman period are in the Lateran Basilica. The Greek scholar Heron of Alexandria created the earliest known automatic door in the first century AD during the era of Roman Egypt. The first foot-sensor-activated automatic door was made in China during the reign of Emperor Yang of Sui (r. 604–618), who had one installed for his royal library. The first automatic gate operators were later created in 1206 by Arab inventor Al-Jazari. Copper and its alloys were integral in medieval architecture. The doors of the church of the Nativity at Bethlehem (6th century) are covered with plates of bronze, cut out in patterns. Those of Hagia Sophia at Constantinople, of the eighth and ninth century, are wrought in bronze, and the west doors of the cathedral of Aix-la-Chapelle (9th century), of similar manufacture, were probably brought from Constantinople, as also some of those in St. Marks, Venice. The bronze doors on the Aachen Cathedral in Germany date back to about 800 AD. Bronze baptistery doors at the Cathedral of Florence were completed in 1423 by Ghiberti. (For more information, see: Copper in architecture). Of the 11th and 12th centuries there are numerous examples of bronze doors, the earliest being one at Hildesheim, Germany (1015). The Hildesheim design affected the concept of Gniezno door in Poland. Of others in South Italy and Sicily, the following are the finest: in Sant'Andrea, Amalfi (1060); Salerno (1099); Canosa di Puglia (1111); Troia, two doors (1119 and 1124); Ravello (1179), by Barisano of Trani, who also made doors for Trani cathedral; and in Monreale and Pisa cathedrals, by Bonano of Pisa. In all these cases the hanging stile had pivots at the top and bottom. The exact period when the builder moved to the hinge is unknown, but the change apparently brought about another method of strengthening and decorating doors—wrought-iron bands of various designs. As a rule, three bands with ornamental work constitute the hinges, with rings outside the hanging stiles that fit on vertical tenons set into the masonry or wooden frame. There is an early example of the 12th century in Lincoln. In France, the metalwork of the doors of Notre Dame at Paris is a beautiful example, but many others exist throughout France and England. In Italy, celebrated doors include those of the Battistero di San Giovanni (Florence), which are all in bronze—including the door frames. The modeling of the figures, birds and foliage of the south doorway, by Andrea Pisano (1330), and of the east doorway by Ghiberti (1425–1452), are of great beauty. In the north door (1402–1424), Ghiberti adopted the same scheme of design for the paneling and figure subjects as Andrea Pisano, but in the east door, the rectangular panels are all filled, with bas-reliefs that illustrate Scripture subjects and innumerable figures. These may the gates of Paradise of which Michelangelo speaks. Doors of the mosques in Cairo were of two kinds: those externally cased with sheets of bronze or iron, cut in decorative patterns, and incised or inlaid, with bosses in relief; and those of wood-framed with interlaced square and diamond designs. The latter design is Coptic in origin. The doors of the palace at Palermo, which were made by Saracenic workmen for the Normans, are fine examples in good preservation. A somewhat similar decorative class of door is found in Verona, where the edges of the stiles and rails are beveled and notched. In the Renaissance period, Italian doors are quite simple, their architects trusting more to the doorways for effect; but in France and Germany the contrary is the case, the doors being elaborately carved, especially in the Louis XIV and Louis XV periods, and sometimes with architectural features such as columns and entablatures with pediment and niches, the doorway being in plain masonry. While in Italy the tendency was to give scale by increasing the number of panels, in France the contrary seems to have been the rule; and one of the great doors at Fontainebleau, which is in two leaves, is entirely carried out as if consisting of one great panel only. The earliest Renaissance doors in France are those of the cathedral of St. Sauveur at Aix (1503). In the lower panels there are figures . high in Gothic niches, and in the upper panels a double range of niches with figures about . high with canopies over them, all carved in cedar. The south door of Beauvais Cathedral is in some respects the finest in France; the upper panels are carved in high relief with figure subjects and canopies over them. The doors of the church at Gisors (1575) are carved with figures in niches subdivided by classic pilasters superimposed. In St. Maclou at Rouen are three magnificently carved doors; those by Jean Goujon have figures in niches on each side, and others in a group of great beauty in the center. The other doors, probably about forty to fifty years later, are enriched with bas-reliefs, landscapes, figures and elaborate interlaced borders. NASA's Vehicle Assembly Building at the Kennedy Space Center contains the four largest doors. The Vehicle Assembly Building was originally built for the assembly of the Apollo missions' Saturn vehicles and was then used to support Space Shuttle operations. Each of the four doors are 139 meters (456 feet) high. The oldest door in England can be found in Westminster Abbey and dates from 1050. In England in the 17th century the door panels were raised with bolection or projecting moldings, sometimes richly carved, around them; in the 18th century the moldings worked on the stiles and rails were carved with the egg-and-dart ornament. Short visual history of doors Design and styles There are many kinds of doors, with different purposes. The most common type is the single-leaf door, which consists of a single rigid panel that fills the doorway. There are many variations on this basic design, such as the double-leaf door or double door and French windows, which have two adjacent independent panels hinged on each side of the doorway. A half door or Dutch door or stable door is divided in half horizontally. Traditionally the top half opens so a worker can feed a horse or other animal while the bottom half remains closed to keep the animal inside. This style of door has been adapted for homes. Saloon doors are a pair of lightweight swing doors often found in public bars, and especially associated with the American west. Saloon doors, also known as cafe doors, often use bidirectional hinges that close the door regardless of which direction it opens by incorporating springs. Saloon doors that only extend from knee-level to chest-level are known as batwing doors. A blind door, Gibb door, or jib door has no visible trim or operable components. It blends with the adjacent wall in all finishes, to appear as part of the wall—a disguised door. A French door consists of a frame around one or more transparent or translucent panels (called lights or lites) that may be installed singly, in matching pairs, or even as series. A matching pair of these doors is called a French window, as it resembles a door-height casement window. When a pair of French doors is used as a French window, the application does not generally include a central mullion (as do some casement window pairs), thus allowing a wider unobstructed opening. The frame typically requires a weather strip at floor level and where the doors meet to prevent water ingress. An espagnolette bolt may let the head and foot of each door be secured in one movement. The slender window joinery maximizes light into the room and minimizes the visual impact of the doorway joinery when considered externally. The doors of a French window often open outward onto a balconet, balcony, porch, or terrace and they may provide an entrance to a garden. A louvered door has fixed or movable wooden fins (often called slats or louvers) which permit open ventilation while preserving privacy and preventing the passage of light to the interior. Being relatively weak structures, they are most commonly used for wardrobes and drying rooms, where security is of less importance than good ventilation, although a very similar structure is commonly used to form window shutters. Double louvred doors were introduced into Seagate, built in Florida in 1929 by Gwendolyn and Powel Crosley, that provided the desired circulation of air with an added degree of privacy in that it is impossible to see through the fins in any direction. A composite door is a single leaf door that can be solid or with glass, and is usually filled with high density foam. In the United Kingdom, composite doors are commonly certified to BS PAS 23/24 and be compliant with Secured by Design, an official UK police initiative. A steel security door is one which is made from strong steel, often for use on vaults and safe rooms to withstand attack. These may also be fitted with wooden outer panels to resemble standard internal and external doors. A flush door is a completely smooth door, having plywood or MDF fixed over a light timber frame, the hollow parts of which are often filled with a cardboard core material. Skins can also be made out of hardboards, the first of which was invented by William H Mason in 1924. Called Masonite, its construction involved pressing and steaming wood chips into boards. Flush doors are most commonly employed in the interior of a dwelling, although slightly more substantial versions are occasionally used as exterior doors, especially within hotels and other buildings containing many independent dwellings. A moulded door has the same structure as that of flush door. The only difference is that the surface material is a moulded skin made of MDF. Skins can also be made out of hardboards. A ledge and brace door often called board and batten doors are made from multiple vertical boards fixed together by two or more horizontal timbers called ledges (or battens)and sometimes kept square by additional diagonal timbers called braces. A wicket door is a pedestrian door built into a much larger door allowing access without requiring the opening of the larger door. Examples might be found on the ceremonial door of a cathedral or in a large vehicle door in a garage or hangar. A bifold door is a unit that has several sections, folding in pairs. Wood is the most common material, and doors may also be metal or glass. Bifolds are most commonly made for closets, but may also be used as units between rooms. Bi-fold doors are essentially now doors that let the outside in. They open in concert; where the panels fold up against one another and are pushed together when opened. The main door panel (often known as the traffic door) is accompanied by a stack of panels that fold very neatly against one another when opened fully, which almost look like room dividers. A sliding glass door, sometimes called an Arcadia door or patio door, is a door made of glass that slides open and sometimes has a screen (a removable metal mesh that covers the door). Australian doors are a pair of plywood swinging doors often found in Australian public houses. These doors are generally red or brown in color and bear a resemblance to the more formal doors found in other British Colonies' public houses. A false door is a wall decoration that looks like a window. In ancient Egyptian architecture, this was a common element in a tomb, the false door representing a gate to the afterlife. They can also be found in the funerary architecture of the desert tribes (e.g., Libyan Ghirza). A doormat (also called door mat) is a mat placed typically in front of or behind a door of a home. This practice originated so that mud and dirt would be less prevalent on floors inside a building. Types Hinged Most doors are hinged along one side to allow the door to pivot away from the doorway in one direction, but not the other. The axis of rotation is usually vertical. In some cases, such as hinged garage doors, the axis may be horizontal, above the door opening. Doors can be hinged so that the axis of rotation is not in the plane of the door to reduce the space required on the side to which the door opens. This requires a mechanism so that the axis of rotation is on the side other than that in which the door opens. This is sometimes the case in trains or airplanes, such as for the door to the toilet, which opens inward. A swing door has special single-action hinges that allow it to open either outward or inward, and is usually sprung to keep it closed. French doors are derived from an original French design called the casement door. It is a door with lites where all or some panels would be in a casement door. A French door traditionally has a moulded panel at the bottom of the door. It is called a French window when used in a pair as double-leaved doors with large glass panels in each door leaf, and in which the doors may swing out (typically) as well as in. A Mead door, developed by S. Mead of Leicester, swings both ways. It is susceptible to forced entry due to its design. A Dutch door or stable door consists of two halves. The top half operates independently from the bottom half. A variant exists in which opening the top part separately is possible, but because the lower part has a lip on the inside, closing the top part, while leaving the lower part open, is not. A garden door resembles a French window (with lites), but is more secure because only one door is operable. The hinge of the operating door is next to the adjacent fixed door and the latch is located at the wall opening jamb rather than between the two doors or with the use of an espagnolette bolt. Sliding It is often useful to have doors which slide along tracks, often for space or aesthetic considerations. A bypass door is a door unit that has two or more sections. The doors can slide in either direction along one axis on parallel overhead tracks, sliding past each other. They are most commonly used in closets to provide access one side of the closet at a time. Doors in a bypass unit overlap slightly when viewed from the front so they don't have a visible gap when closed. Doors which slide inside a wall cavity are called pocket doors. This type of door is used in tight spaces where privacy is also required. The door slab is mounted to roller and a track at the top of the door and slides inside a wall. Sliding glass doors are common in many houses, particularly as an entrance to the backyard. Such doors are also popular for use for the entrances to commercial structures, although they are not counted as fire exit doors. The door that moves is called the "active leaf", while the door that remains fixed is called the "inactive leaf". Rotating A revolving door has several wings or leaves, generally four, radiating from a central shaft, forming compartments that rotate about a vertical axis. A revolving door allows people to pass in both directions without colliding, and forms an airlock maintaining a seal between inside and out. A pivot door, instead of hinges, is supported on a bearing some distance away from the edge, so that there is more or less of a gap on the pivot side as well as the opening side. In some cases the pivot is central, creating two equal openings. High-speed A high-speed door is a very fast door some with opening speeds of up to 4 m/s, mainly used in the industrial sector where the speed of a door has an effect on production logistics, temperature and pressure control. high-speed clean room doors are used in pharmaceutical industries for the special curtain and stainless steel frames. They guarantee the tightness of all accesses. The powerful high-speed doors have a smooth surface structure and no protruding edges. Therefore, they can be easily cleaned and depositing of particles is largely excluded. High-speed doors are made to handle a high number of openings, generally more than 200,000 a year. They must be built with heavy duty parts and counterbalance systems for speed enhancement and emergency opening function. The door curtain was originally made of PVC, but was later also developed in aluminium and acrylic glass sections. High Speed refrigeration and cold room doors with excellent insulation values was also introduced with the Green and Energy saving requirements. In North America, the Door and Access Systems Manufacturing Association (DASMA) defines high-performance doors as non-residential, powered doors, characterized by rolling, folding, sliding or swinging action, that are either high-cycle (minimum 100 cycles/day) or high-speed (minimum 20 inches (508 mm)/second), and two out of three of the following: made-to-order for exact size and custom features, able to withstand equipment impact (break-away if accidentally hit by vehicle), or able to sustain heavy use with minimal maintenance. Automatic Automatically opening doors are powered open and closed either by electricity, spring, or both. There are several methods by which an automatically opening door is activated: A sensor detects traffic is approaching. Sensors for automatic doors are generally: A pressure sensor – e.g., a floor mat which reacts to the pressure of someone standing on it. An infrared curtain or beam which shines invisible light onto sensors; if someone or something blocks the beam the door is triggered open. A motion sensor which uses low-power microwave radar for the same effect. A remote sensor (e.g. based on infrared or radio waves) can be triggered by a portable remote control, or is installed inside a vehicle. These are popular for garage doors. A switch is operated manually, perhaps after security checks. This can be a push button switch or a swipe card. The act of pushing or pulling the door triggers the open and close cycle. These are also known as power-assisted doors. In addition to activation sensors, automatically opening doors are generally fitted with safety sensors. These are usually an infrared curtain or beam, but can be a pressure mat fitted on the swing side of the door. The safety sensor prevents the door from colliding with an object by stopping or slowing its motion. A mechanism in modern automatic doors ensures that the door can open in a power failure. Other Up-and-over or overhead doors are often used in garages. Instead of hinges, it has a mechanism, often counterbalanced or sprung, so it can lift and rest horizontally above the opening. A roller shutter or sectional overhead door is one variant of this type. A tambour door or roller door is an up-and-over door made of narrow horizontal slats and "rolls" up and down by sliding along vertical tracks and is typically found in entertainment centres and cabinets. Rebated doors, a term chiefly used in Britain, are double doors having a lip or overlap (i.e. a Rabbet) on the vertical edge(s) where they meet. Fire-rating can be achieved with an applied edge-guard or astragal molding on the meeting stile, in accordance with the American fire door. Evolution Door is a trackless door that moves in the same closure level as a sliding door. The system is an invention of the Austrian artist Klemens Torggler. It is a further development of the that normally consists of two rotatable, connected panels which move to each other when opening. Applications Architectural doors have numerous general and specialized uses. Doors are generally used to separate interior spaces (closets, rooms, etc.) for convenience, privacy, safety, and security reasons. Doors are also used to secure passages into a building from the exterior, for reasons of climate control and safety. Doors also are applied in more specialized cases: A blast-proof door is constructed to allow access to a structure as well as to provide protection from the force of explosions. A garden door is any door that opens to a backyard or garden. This term is often used specifically for French windows, double French doors (with lites instead of panels), in place of a sliding glass door. The term also may refer to what is known as patio doors. A jib door is a concealed door, whose surface reflects the moldings and finishes of the wall. These were used in historic English houses, mainly as servants' doors. A pet door (also known as a cat flap or dog door) is an opening in a door to allow pets to enter and exit without the main door's being opened. It may be simply covered by a rubber flap, or it may be an actual door hinged on the top that the pet can push through. Pet doors may be mounted in a sliding glass door as a new (permanent or temporary) panel. Pet doors may be unidirectional, only allowing pets to exit. Additionally, pet doors may be electronic, only allowing animals with a special electronic tag to enter. A trapdoor is a door that is oriented horizontally in a ceiling or floor, often accessed via a ladder. A water door or water entrance, such as those used in Venice, Italy, is a door leading from a building built on the water, such as a canal, to the water itself where, for example, one may enter or exit a private boat or water taxi. Construction and components Paneling Panel doors, also called stile and rail doors, are built with frame and panel construction. EN 12519 is describing the terms which are officially used in European Member States. The main parts are listed below: Stiles – Vertical boards that run the full height of a door and compose its right and left edges. The hinges are mounted to the fixed side (known as the "hanging stile"), and the handle, lock, bolt or latch are mounted on the swinging side (known as the "latch stile"). Rails – Horizontal boards at the top, bottom, and optionally in the middle of a door that join the two stiles and split the door into two or more rows of panels. The "top rail" and "bottom rail" are named for their positions. The bottom rail is also known as "kick rail". A middle rail at the height of the bolt is known as the "lock rail", other middle rails are commonly known as "cross rails". Mullions – Smaller optional vertical boards that run between two rails, and split the door into two or more columns of panels, the term is used sometimes for verticals in doors, but more often (UK and Australia) it refers to verticals in windows. Muntin – Optional vertical members that divide the door into smaller panels. Panels – Large, wider boards used to fill the space between the stiles, rails, and mullions. The panels typically fit into grooves in the other pieces, and help to keep the door rigid. Panels may be flat, or in raised panel designs. Can be glued in or stay as a floating panel. Light – a piece of glass used in place of a panel, essentially giving the door a window. Board battening Also known as ledges and braced, board and batten doors are an older design consisting primarily of vertical slats: Planks – Boards wider than 9" that extend the full height of the door, and are placed side by side filling the door's width. Ledges and braces – Ledges extend horizontally across the door which the boards are affixed to. The ledges hold the planks together. When diagonally they are called braces which prevent the door from skewing. On some doors, especially antique ones, the ledges are replaced with iron bars that are often built into the hinges as extensions of the door-side plates. Ledging and bracing As board and Batten doors. Impact resistance Impact-resistant doors have rounded stile edges to dissipate energy and minimize edge chipping, scratching and denting. The formed edges are often made of an engineered material. Impact-resistant doors excel in high traffic areas such as hospitals, schools, hotels and coastal areas. Frame and fill This type consists of a solid timber frame, filled on one face, face with tongue and groove boards. Quite often used externally with the boards on the weather face. Flushing Many modern doors, including most interior doors, are flush doors: Stiles and rails – As above, but usually smaller. They form the outside edges of the door. Core material – Material within the door used simply to fill space, provide rigidity and reduce drumminess. Hollow-core – Often consists of a lattice or honeycomb made of corrugated cardboard, or thin wooden slats. Can also be built with staggered wooden blocks. Hollow-core flush doors are commonly used as interior doors. Lock block – A solid block of wood mounted within a hollow-core flush door near the bolt to provide a solid and stable location for mounting the door's hardware. Stave-core – Consists of wooden slats stacked upon one another in a manner similar to a board and batten door (though the slats are usually thinner) or the wooden-block hollow-core (except that the space is entirely filled). Solid-core – Can consist of low-density particle board or foam used to completely fill the space within the door. Solid-core flush doors (especially foam-core ones) are commonly used as exterior doors because they provide more insulation and strength. Skin – The front and back faces of the door are then covered with wood veneer, thin plywood, sheet metal, fiberglass, or vinyl. The wooden materials are usually layered with the grain alternating direction between layers to prevent warping. Fiberglass and metal-faced doors are sometimes given a layer of cellulose so that they may be stained to look like wood. Moulding Stiles and rails – As above, but usually smaller. They form the outside edges of the door. Core material: Material within the door used simply to fill space, provide rigidity and reduce druminess. Hollow-core – Often consists of a lattice or honeycomb made of corrugated cardboard, extruded polystyrene foam, or thin wooden slats. Can also be built with staggered wooden blocks. Hollow-core molded doors are commonly used as interior doors. Lock block – A solid block of wood mounted within a hollow-core flush door near the bolt to provide a solid and stable location for mounting the door's hardware. Stave-core – Consists of wooden slats stacked upon one another in a manner similar to a board & batten door (though the slats are usually thinner) or the wooden-block hollow-core (except that the space is entirely filled). Solid-core – Can consist of low-density particle board or foam used to completely fill the space within the door. Solid-core flush doors (especially foam-core ones) are commonly used as exterior doors because they provide more insulation and strength. Skin – The front and back faces of the door are covered with HDF/MDF skins. Swing direction For most of the world, door swings, or handing, are determined while standing on the outside or less secure side of the door while facing the door (i.e., standing on the side requiring a key to open, going from outside to inside, or from public to private). It is important to get the hand and swing correct on exterior doors, as the transom is usually sloped and sealed to resist water entry, and properly drain. In some custom millwork (or with some master carpenters), the manufacture or installer bevels the leading edge (the first edge to meet the jamb as the door closes) so that the door fits tight without binding. Specifying an incorrect hand or swing can make the door bind, not close properly, or leak. Fixing this error is expensive or time-consuming. In North America, many doors now come with factory-installed hinges, pre-hung on the jamb and sills. While facing the door from the outside or less secure side, if the hinge is on the right side of the door, the door is "right handed"; or if the hinge is on the left, it is "left handed". If the door swings toward you, it is "reverse swing"; or if the door swings away from you, it is "normal swing". In other words: In the United States: Left hand hinge (LHH): Standing outside (or on the less secure side, or on the public side of the door), the hinges are on the left and the door opens in (away from you). Right hand hinge (RHH): Standing outside (or on the less secure side), the hinges are on the right and the door opens in (away from you). Left hand reverse (LHR): Standing outside the house (or on the less secure side), the hinges are on the left, knob on right, on opening the door it swings toward you (i.e. the door swings open toward the outside, or "outswing") Right hand reverse (RHR): Standing outside the house (i.e. on the less secure side), the hinges are on the right, knob on left, opening the door by pulling the door toward you (i.e. open swings to the outside, or "outswing") In Europe: One of the oldest DIN standard applies: DIN 107 "Building construction; identification of right and left side" (first 1922–05, current 1974–04) defines that doors are categorized from the side where the door hinges can be seen. If the hinges are on the left, it is a DIN Left door (DIN links, DIN gauche), if the hinges are on the right, it is a DIN Right door (DIN rechts, DIN droite). The DIN Right and DIN Left marking are also used to categorize matching installation material such as mortise locks (referenced in DIN 107). The European Standard DIN EN 12519 "Windows and pedestrian doors. Terminology" includes these definitions of orientation. In Australia: The "refrigerator rule" applies, and a refrigerator door is not opened from the inside. If the hinges are on the right then it is a right hand (or right hung) door. (Australian Standards for Installation of Timber Doorsets, AS 1909–1984 pg 6.) In public buildings, exterior doors open to the outside to comply with applicable fire codes. In a fire, a door that opens inward could cause a crush of people who can't open it. Main materials New exterior doors are largely defined by the type of materials they are made from: wood, steel, fiberglass, UPVC/vinyl, aluminum, composite, glass (patio doors), etc. Wooden doors – including solid wood doors – are a top choice for many homeowners, largely because of the aesthetic qualities of wood. Many wood doors are custom-made, but they have several downsides: their price, their maintenance requirements (regular painting and staining) and their limited insulating value (R-5 to R-6, not including the effects of the glass elements of the doors). Wood doors often have an overhang requirement to maintain a warranty. An overhang is a roof, porch area or awning that helps to protect the door and its finish from UV rays. Steel doors are another major type of residential front doors; most of them come with a polyurethane or other type of foam insulation core – a critical factor in a building's overall comfort and efficiency. Steel doors mostly in default comes along with frame and lock system, which is a high cost efficiency factor compared to wooden doors. Most modern exterior walls provide thermal insulation and energy efficiency, which can be indicated by the Energy Star label or the Passive House standards. Premium composite (including steel doors with a thick core of polyurethane or other foam), fiberglass and vinyl doors benefit from the materials they are made from, from a thermal perspective. Insulation and weatherstripping But there are very few door models with an R-value close to 10 (the R-value measures how well a barrier resists the conductive flow of heat). This is far less than the R-40 walls or the R-50 ceilings of super-insulated buildings – Passive Solar and Zero Energy Buildings. Typical doors are not thick enough to provide very high levels of energy efficiency. Many doors may have good R-values at their center, but their overall energy efficiency is reduced because of the presence of glass and reinforcing elements, or because of poor weatherstripping and the way the door is manufactured. Door weatherstripping is particularly important for energy efficiency. German-made passive house doors use multiple weatherstrips, including magnetic strips, to meet higher standards. These weatherstrips reduce energy losses due to air leakage. Dimensions United States Standard door sizes in the US run along 2" increments. Customary sizes have a height of 78" (1981 mm) or 80" (2032 mm) and a width of 18" (472 mm), 24" (610 mm), 26" (660 mm), 28" (711 mm), 30" (762 mm) or 36" (914 mm). Most residential passage (room to room) doors are 30" x 80" (762 mm × 2032 mm). A standard US residential (exterior) door size is 36" × 80" (91 × 203 cm). Interior doors for wheelchair access must also have a minimum width of 3' 0" (91 cm). Residential interior doors are often somewhat smaller being 6' 8" high, as are many small stores, offices, and other light commercial buildings. Larger commercial, public buildings and grand homes often use doors of greater height. Older buildings often have smaller doors. Thickness: Most pre-fabricated doors are 1 3/8" thick (for interior doors) or 1 3/4" (exterior). Closets: small spaces such as closets, dressing rooms, half-baths, storage rooms, cellars, etc. often are accessed through doors smaller than passage doors in one or both dimensions but similar in design. Garages: Garage doors are generally 7' 0" or 8' 0" wide for a single-car opening. Two car garage doors (sometimes called double car doors) are a single door 16' 0". Because of size and weight these doors are usually sectional. That is split into four or five horizontal sections so that they can be raised more easily and don't require a lot of additional space above the door when opening and closing. Single piece double garage doors are common in some older homes. Europe Standard DIN doors are defined in DIN 18101 (published 1955–07, 1985–01, 2014–08). Door sizes are also given in the construction standard for wooden door panels (DIN 68706–1). The DIN commission created the harmonized European standard DIN EN 14351-1 for exterior doors and DIN EN 14351-2 for interior doors (published 2006–07, 2010–08), which define requirements for the CE marking and provide standard sizes by examples in the appendix. The DIN 18101 standard has a normative size (Nennmaß) slightly larger than the panel size (Türblatt) as the standard derives the panel sizes from the normative size being different single door vs double door and molded vs unmolded doors. DIN 18101/1985 defines interior single molded doors to have a common panel height of 1985 mm (normativ height 2010 mm) at panel widths of 610 mm, 735 mm, 860 mm, 985 mm, 1110 mm, plus a larger door panel size of 1110 mm x 2110 mm. The newer DIN 18101/2014 drops the definition of just five standard door sizes in favor of a basic raster running along 125 mm increments where the height and width are independent. Panel width may be in the range 485 mm to 1360 mmm, and the height may be in the range of 1610 mm to 2735 mm. The most common interior door is 860 mm x 1985 mm (33.8" x 78.1"). Doorways When framed in wood for snug fitting of a door, the doorway consists of two vertical jambs on either side, a lintel or head jamb at the top, and perhaps a threshold at the bottom. When a door has more than one movable section, one of the sections may be called a leaf. See door furniture for a discussion of attachments to doors such as door handles, doorknobs, and door knockers. Lintel – A horizontal beam above a door that supports the wall above it. (Also known as a header) Jambs or legs – The vertical posts that form the sides of a door frame, where the hinges are mounted, and with which the bolt interacts. Sill (for exterior doors) – A horizontal sill plate below the door that supports the door frame. Similar to a Window Sill but for a door Threshold (for exterior doors) – A horizontal plate below the door that bridges the crack between the interior floor and the sill. Doorstop – a thin slat built inside the frame to prevent a door from swinging through when closed, an act which might break the hinges. Architrave – The decorative molding that outlines a door frame. (called an Archivolt if the door is arched). Called door casing or brickmold in North America. Related hardware Door furniture or hardware refers to any of the items that are attached to a door or a drawer to enhance its functionality or appearance. This includes items such as hinges, handles, door stops, etc. Safety Door safety relates to prevention of door-related accidents. Such accidents take place in various forms, and in a number of locations; ranging from car doors to garage doors. Accidents vary in severity and frequency. According to the National Safety Council in the United States, around 300,000 door-related injuries occur every year. The types of accidents vary from relatively minor cases where doors cause damage to other objects, such as walls, to serious cases resulting in human injury, particularly to fingers, hands, and feet. A closing door can exert up to 40 tons per square inch of pressure between the hinges. Because of the number of accidents taking place, there has been a surge in the number of lawsuits. Thus organisations may be at risk when car doors or doors within buildings are unprotected. According to the US General Services Administration, discussing child care centres: Opening direction Whenever a door is opened outward, there is a risk that it could strike another person. In many cases this can be avoided by architectural design which favors doors which open inward to rooms (from the perspective of a common area such as a corridor, the door opens outward). In cases where this is infeasible, it may be possible to avoid an accident by placing vision panels in the door. Inward-hinged doors can also escalate an accident by preventing people from escaping the building: people inside the building may press against the doors, and thus prevent the doors from opening. Related accidents include: Grue Church fire - Grue, Norway in 1822 Victoria Hall Disaster - Sunderland, UK in 1883 Glen Cinema disaster - Paisley, UK in 1929 Cocoanut Grove fire - Boston, USA in 1942 Today, the exterior doors of most large (especially public) buildings open outward, while interior doors such as doors to individual rooms, offices, suites, etc. open inward, as do many exterior doors of houses, particularly in North America. Stops Doorstops are simple devices that prevent a door from contacting and possibly damaging another object (typically a wall). They may either absorb the force of a moving door, or hold the door against unintended motion. Guards Door guards (hinge guards, anti-finger trapping devices, or finger guards) help prevent finger trapping accidents, as doors pose a risk to children, especially when closing. Door guards protect fingers in door hinges by covering the hinge-side gap of an open door, typically with a piece of rubber or plastic that wraps from the door frame to the door. Other door safety products eject the fingers from the push side of the door as it closes. There are various levels of door protection. Anti-finger trapping devices in front may leave the rear hinge pin side of doors unprotected. Full door protection uses front and rear anti-finger trapping devices and ensures the hinge side of a door is fully isolated. A risk assessment of the door determines the appropriate level of protection. There is also handle-side door protection, which prevents the door from slamming shut on the frame, which can cause injury to fingers/hands. Glass Glass doors pose the risk of unintentional collision if a person is unaware there is a door, or thinks it is open when it is not. This risk is greater with sliding glass doors because they often have large single panes that are hard to see. Stickers or other types of warnings on the glass surface make it more visible and help prevent injury. In the UK, Regulation 14 of the Workplace (Health and Safety Regulations) 1992 requires that builders mark windows and glass doors to make them conspicuous. Australian Standards: AS1288 and AS2208 require that glass doors be made of laminated, tempered, or toughened glass. Fire Buildings often have special purpose doors that automatically close to prevent the spread of fire and smoke. Fire doors that are improperly installed or tampered with can increase risk during a fire. Sometimes, door closer mechanisms ensure fire doors remain closed. An additional fire risk is that doors may prevent access to emergency services personnel coming to fight the fire and rescue occupants, etc. Fire fighters must use door breaching techniques in these situations to gain access. Doors in public buildings often have panic bars, which open the door in response to anyone pressing against the bar from the inside in the event of a fire or other emergency. Automobiles Vehicle doors present an increased risk of trapping hands or fingers due to the proximity of occupants. In some car accidents, injury to occupants from the movement of car doors occurs. Bicyclists cycling on public roads risk dooring: collision with an abruptly opened vehicle door. Because cyclists often ride near parked cars alongside the road, they are particularly vulnerable. Aircraft In aircraft, doors from pressurized sections to un-pressurized compartments or the exterior can pose risk if they open during flight. Air may rush out of the fuselage with sufficient velocity to eject unsecured occupants, cargo, and other items, and drastic pressure differences between compartments may make aircraft floors or other interior partitions fail. These concerns are typically mitigated with plug doors, which open in toward the pressurized compartment and are forced into their door frames by the difference in air pressure. Most cabin doors are of this type, but cargo doors typically open outward to maximise interior space, and require hefty locking mechanisms to overcome internal pressure and prevent explosive decompression. A number of aircraft accidents involved outward-opening door failures, including: American Airlines Flight 96 (1972) Turkish Airlines Flight 981 (1974) 1975 Tân Sơn Nhứt C-5 accident United Airlines Flight 811 (1989) See also Biometrics Closed-circuit television Coal hole Door loop, a method for providing electric cabling to a door Door security Double margin doors Electronic lock Hinge bender, a tool for adjusting door hinges Identity document IP camera Janus, Roman god of doors Keycards Locksmithing Lock picking Logical security Citations General references External links Types of gates
8677
https://en.wikipedia.org/wiki/December%2030
December 30
Events Pre-1600 534 – The second and final edition of the Code of Justinian comes into effect in the Byzantine Empire. 999 – Battle of Glenmama: The combined forces of Munster and Meath under king Brian Boru inflict a crushing defeat on the allied armies of Leinster and Dublin near Lyons Hill in Ireland. 1066 – Granada massacre: A Muslim mob storms the royal palace in Granada, crucifies Jewish vizier Joseph ibn Naghrela and massacres most of the Jewish population of the city. 1419 – Hundred Years' War: Battle of La Rochelle. 1460 – Wars of the Roses: Lancastrians kill the 3rd Duke of York and win the Battle of Wakefield. 1601–1900 1702 – Queen Anne's War: James Moore, Governor of the Province of Carolina, abandons the Siege of St. Augustine. 1813 – War of 1812: British soldiers burn Buffalo, New York. 1816 – The Treaty of St. Louis between the United States and the united Ottawa, Ojibwa, and Potawatomi Indian tribes is proclaimed. 1825 – The Treaty of St. Louis between the United States and the Shawnee Nation is proclaimed. 1853 – Gadsden Purchase: The United States buys land from Mexico to facilitate railroad building in the Southwest. 1890 – Following the Wounded Knee Massacre, the United States Army and Lakota warriors face off in the Drexel Mission Fight. 1896 – Filipino patriot and reform advocate José Rizal is executed by a Spanish firing squad in Manila. 1896 – Canadian ice hockey player Ernie McLea scores the first hat-trick in Stanley Cup play, and the Cup-winning goal as the Montreal Victorias defeat the Winnipeg Victorias 6–5. 1897 – The British Colony of Natal annexes Zululand. 1901–present 1903 – A fire at the Iroquois Theater in Chicago, Illinois kills at least 605. 1905 – Former Idaho Governor Frank Steunenberg is assassinated at the front gate of his home in Caldwell. 1906 – The All-India Muslim League is founded in Dacca, East Bengal, British India (later Dhaka, Bangladesh). 1916 – Russian mystic and advisor to the Tsar Grigori Yefimovich Rasputin is murdered by a loyalist group led by Prince Felix Yusupov. His frozen, partially-trussed body was discovered in a Petrograd river three days later. 1916 – The last coronation in Hungary is performed for King Charles IV and Queen Zita. 1922 – The Union of Soviet Socialist Republics (USSR) is formed. 1927 – The Ginza Line, the first subway line in Asia, opens in Tokyo, Japan. 1935 – The Italian Air Force bombs a Swedish Red Cross hospital during the Second Italo-Abyssinian War. 1936 – The Flint sit-down strike hits General Motors. 1943 – Subhas Chandra Bose raises the flag of Indian independence at Port Blair. 1944 – King George II of Greece declares a regency, leaving the throne vacant. 1947 – Cold War: King Michael I of Romania is forced to abdicate by the Soviet Union-backed Communist government of Romania. 1952 – An RAF Avro Lancaster bomber crashes in Luqa, Malta after an engine failure, killing three crew members and a civilian on the ground. 1958 – The Guatemalan Air Force sinks several Mexican fishing boats alleged to have breached maritime borders, killing three and sparking international tension. 1972 – Vietnam War: Operation Linebacker II ends. 1993 – Israel establishes diplomatic relations with Vatican City and also upgrades to full diplomatic relations with Ireland. 1996 – Proposed budget cuts by Benjamin Netanyahu spark protests from 250,000 workers who shut down services across Israel. 1997 – In the worst incident in Algeria's insurgency, the Wilaya of Relizane massacres, 400 people from four villages are killed. 2000 – Rizal Day bombings: A series of bombs explode in various places in Metro Manila, Philippines within a period of a few hours, killing 22 and injuring about a hundred. 2004 – A fire in the República Cromagnon nightclub in Buenos Aires, Argentina, kills 194. 2005 – Tropical Storm Zeta forms in the open Atlantic Ocean, tying the record for the latest tropical cyclone ever to form in the North Atlantic basin. 2006 – Madrid–Barajas Airport is bombed. 2006 – The Indonesian passenger ferry sinks in a storm, resulting in at least 400 deaths. 2006 – Former President of Iraq Saddam Hussein is executed. 2009 – A segment of the Lanzhou–Zhengzhou–Changsha pipeline ruptures in Shaanxi, China, and approximately of diesel oil flows down the Wei River before finally reaching the Yellow River. 2009 – A suicide bomber kills nine people at Forward Operating Base Chapman, a key facility of the Central Intelligence Agency in Afghanistan. 2013 – More than 100 people are killed when anti-government forces attack key buildings in Kinshasa, Democratic Republic of the Congo. Births Pre-1600 AD 39 – Titus, Roman emperor (probable; d. 81) 159 – Empress Dowager Bian, second wife of Cao Cao, mother of Cao Wei's first emperor, Cao Pi (d. 230) 1204 – Abû 'Uthmân Sa'îd ibn Hakam al Qurashi, ruler of Minorca (d. 1282) 1371 – Vasily I of Moscow (d. 1425) 1490 – Ebussuud Efendi, Ottoman lawyer and jurist (d. 1574) 1548 – David Pareus, German theologian (d. 1622) 1578 – Ulrik of Denmark, Danish prince-bishop (d. 1624) 1601–1900 1642 – Vincenzo da Filicaja, Italian poet (d. 1707) 1673 – Ahmed III, Ottoman sultan (d. 1736) 1678 – William Croft, English organist and composer (d. 1727) 1722 – Charles Yorke, English lawyer and politician, Lord Chancellor of Great Britain (d. 1770) 1724 – Louis-Jean-François Lagrenée, French painter and educator (d. 1805) 1757 – Sebastián Kindelán y O'Regan, colonial governor of East Florida, Santo Domingo and Cuba (d. 1826) 1760 – Charles Sapinaud de La Rairie, French general (d. 1829) 1792 – Sylvester Jordan, German lawyer and politician (d. 1861) 1819 – Theodor Fontane, German author and poet (d. 1898) 1819 – John W. Geary, American lawyer and politician, 16th Governor of Pennsylvania (d. 1873) 1825 – Samuel Newitt Wood, American lawyer and politician (d. 1891) 1842 – Osman Hamdi Bey, Ottoman administrator, intellectual, art expert and painter (d. 1910) 1849 – John Milne, English seismologist and geologist (d. 1913) 1851 – Asa Griggs Candler, American businessman and politician, 44th Mayor of Atlanta (d. 1929) 1853 – André Messager, French pianist, composer, and conductor (d. 1929) 1857 – Sylvio Lazzari, French-Austrian composer (d. 1944) 1865 – Rudyard Kipling, Indian-English author and poet, Nobel Prize laureate (d. 1936) 1869 – Stephen Leacock, English-Canadian political scientist and author (d. 1944) 1869 – Ōzutsu Man'emon, Japanese sumo wrestler, the 18th Yokozuna (d. 1918) 1873 – Al Smith, American lawyer and politician, 42nd Governor of New York (d. 1944) 1878 – William Aberhart, Canadian evangelist and politician, seventh Premier of Alberta (d. 1943) 1879 – Ramana Maharshi, Indian guru and philosopher (d. 1950) 1883 – Archer Baldwin, American-English farmer and politician (d. 1966) 1883 – Lester Patrick, Canadian ice hockey player and coach (d. 1960) 1884 – Hideki Tōjō, Japanese general and politician, 40th Prime Minister of Japan (d. 1948) 1886 – Austin Osman Spare, English artist and occultist (d. 1956) 1887 – William Kolehmainen, Finnish-American runner and coach (d. 1967) 1887 – K.M.Munshi, Indian politician, writer and educationist, founder of Bharatiya Vidya Bhavan (d. 1971) 1890 – Adolfo Ruiz Cortines, Mexican soldier and politician, 47th President of Mexico (d. 1973) 1897 – Alfredo Bracchi, Italian songwriter and screenwriter (d. 1976) 1899 – Helge Ingstad, Norwegian explorer, lawyer, and politician, 2nd Governor of Svalbard (d. 2001) 1901–present 1904 – Dmitry Kabalevsky, Russian composer and academic (d. 1987) 1905 – Daniil Kharms, Russian poet, author, and playwright (d. 1942) 1906 – Alziro Bergonzo, Italian architect and painter (d. 1997) 1906 – Carol Reed, English director and producer (d. 1976) 1910 – Paul Bowles, American composer and author (d. 1999) 1911 – Jeanette Nolan, American actress (d. 1998) 1913 – Lucio Agostini, Italian-Canadian conductor and composer (d. 1996) 1913 – Elyne Mitchell, Australian author (d. 2002) 1914 – Bert Parks, American actor, singer, television personality, and beauty pageant host (d. 1992) 1917 – Seymour Melman, American engineer and author (d. 2004) 1919 – Dick Spooner, English cricketer (d. 1997) 1919 – David Willcocks, English organist, composer, and conductor (d. 2015) 1921 – Rashid Karami, Lebanese lawyer and politician, 32nd Prime Minister of Lebanon (d. 1987) 1922 – Jane Langton, American author and illustrator (d. 2018) 1923 – Prakash Vir Shastri, Indian academic and politician (d. 1977) 1924 – Yvonne Brill, Canadian-American propulsion engineer (d. 2013) 1925 – Ian MacNaughton, Scottish actor, producer, and director (d. 2002) 1926 – Stan Tracey, English pianist and composer (d. 2013) 1927 – Jan Kubíček, Czech painter and sculptor (d. 2013) 1928 – Bo Diddley, American singer-songwriter and guitarist (d. 2008) 1929 – Rosalinde Hurley, English physician, microbiologist, and academic (d. 2004) 1930 – Roy Yorke Calne, English surgeon and academic 1930 – Red Rhodes, American pedal steel guitarist (d. 1995) 1930 – Mary Rose Tuitt, Montserrat politician (d. 2005) 1930 – Tu Youyou, Chinese chemist and pharmacist, Nobel Prize laureate 1931 – Skeeter Davis, American singer-songwriter (d. 2004) 1931 – John T. Houghton, Welsh physicist and author (d. 2020) 1931 – Frank Torre, American baseball player and manager (d. 2014) 1933 – Timité Bassori, Ivorian filmmaker, actor, and writer 1934 – John N. Bahcall, American astrophysicist and astronomer, co-developed the Hubble Space Telescope (d. 2005) 1934 – Joseph Bologna, American actor, director, and screenwriter (d. 2017) 1934 – Barry Briggs, New Zealand motorcycle racer and sportscaster 1934 – Joseph P. Hoar, American general 1934 – Del Shannon, American singer-songwriter and guitarist (d. 1990) 1934 – Russ Tamblyn, American actor 1935 – Omar Bongo, Gabonese lieutenant and politician, President of Gabon (d. 2009) 1935 – Sandy Koufax, American baseball player and sportscaster 1935 – Jack Riley, American actor (d. 2016) 1937 – Gordon Banks, English footballer and manager (d. 2019) 1937 – John Hartford, American singer-songwriter and fiddler (d. 2001) 1937 – Jim Marshall, American football player 1937 – Paul Stookey, American singer-songwriter and guitarist 1938 – Ron Wolf, American Football Hall of Fame General Manager 1939 – Glenda Adams, Australian author and academic (d. 2007) 1939 – Felix Pappalardi, American singer-songwriter, bass player, and producer (d. 1983) 1940 – James Burrows, American actor, director, producer, and screenwriter 1941 – Mel Renfro, American football player and coach 1942 – Vladimir Bukovsky, Russian author and activist (d. 2019) 1942 – Guy Edwards, English race car driver 1942 – Michael Nesmith, American singer-songwriter, guitarist, and actor (d. 2021) 1942 – Janko Prunk, Slovenian historian, academic, and politician 1942 – Robert Quine, American guitarist (d. 2004) 1942 – Toomas Savi, Estonian physician and politician 1942 – Fred Ward, American actor 1944 – William J. Fallon, American admiral 1944 – Joseph Hilbe, American mathematician and philosopher (d. 2017) 1945 – Davy Jones, English singer-songwriter and actor (d. 2012) 1945 – Lloyd Kaufman, American director, producer, and screenwriter, co-founded Troma Entertainment 1945 – Paola Pigni, Italian runner (d. 2021) 1945 – Concetta Tomei, American actress 1946 – Clive Bunker, English drummer and songwriter 1946 – Patti Smith, American singer-songwriter and poet 1946 – Berti Vogts, German footballer and coach 1947 – James Kahn, American author, screenwriter, and producer 1947 – Jeff Lynne, English singer-songwriter, guitarist, and producer 1947 – Steve Mix, American basketball player and coach 1948 – Jed Johnson, American interior designer and director (d. 1996) 1949 – David Bedford, English runner 1949 – Jerry Coyne, American biologist and author 1949 – Jim Flaherty, Canadian lawyer and politician, 37th Canadian Minister of Finance (d. 2014) 1950 – Timothy Mo, Chinese-English author 1950 – Lewis Shiner, American journalist and author 1950 – Bjarne Stroustrup, Danish computer scientist, created the C++ programming language 1950 – Martti Vainio, Finnish runner 1951 – Doug Allder, English footballer and coach 1951 – Chris Jasper, American musician, singer-songwriter, and producer 1951 – Nick Rose, English runner 1952 – June Anderson, American soprano and actress 1953 – Daniel T. Barry, American engineer and astronaut 1953 – Dana Key, American singer, guitarist, and producer (d. 2010) 1953 – Graham Vick, English director and producer 1953 – Meredith Vieira, American journalist and game show host 1954 – Barry Greenstein, American poker player and philanthropist 1956 – Ingus Baušķenieks, Latvian singer-songwriter and producer 1956 – Suzy Bogguss, American country singer-songwriter and guitarist 1956 – Patricia Kalember, American actress 1956 – Sheryl Lee Ralph, American actress and singer 1957 – Matt Lauer, American television journalist and anchor 1957 – Glenn Robbins, Australian comedian and actor 1958 – Pedro Costa, Portuguese director, screenwriter, and cinematographer 1958 – Steven Smith, American engineer and astronaut 1959 – Antonio Pappano, English pianist and conductor 1959 – Kåre Thomsen, Norwegian guitarist and graphic designer 1959 – Tracey Ullman, English-American actress, singer, director, and screenwriter 1959 – Josée Verner, Canadian politician, 8th Canadian Minister of Intergovernmental Affairs 1960 – Richard M. Durbin, English biologist and academic 1961 – Douglas Coupland, German-Canadian author and playwright 1961 – Bill English, New Zealand farmer and politician, 39th Prime Minister of New Zealand 1961 – Sean Hannity, American radio and television host 1961 – Ben Johnson, Jamaican-Canadian sprinter 1961 – Charlie Nicholas, Scottish footballer and sportscaster 1963 – Chandler Burr, American journalist and author 1963 – Milan Šrejber, Czech tennis player 1963 – Mike Pompeo, American diplomat and politician; 70th United States Secretary of State 1964 – Almir Kayumov, Russian footballer and referee (d. 2013) 1964 – Sylvie Moreau, Canadian actress and screenwriter 1964 – George Newbern, American actor 1965 – Heidi Fleiss, American procurer 1966 – Gary Chartier, American philosopher, scholar, and academic 1966 – Bennett Miller, American director and producer 1967 – Carl Ouellet, Canadian wrestler and sportscaster 1968 – Bryan Burk, American screenwriter and producer 1968 – Adam Dale, Australian cricketer 1968 – Sandra Glover, American hurdler 1968 – Albano Mucci, Australian activist 1969 – Emmanuel Clérico, French race car driver 1969 – Dave England, American snowboarder and stuntman 1969 – Jay Kay, British singer-songwriter 1969 – Kersti Kaljulaid, President of Estonia 1969 – Michelle McGann, American golfer 1969 – Meredith Monroe, American actress 1971 – Sister Bliss, English keyboard player, songwriter, and producer 1971 – C. S. Lee, Korean-American actor 1971 – Ricardo, Spanish footballer and manager 1971 – Manuela Schmermund, German Paralympic sport shooter 1972 – Daniel Amokachi, Nigerian footballer and manager 1972 – Paul Keegan, Irish footballer 1972 – Dita Indah Sari, Indonesian trade union leader and activist 1972 – Steven Wiig, American actor and drummer 1973 – Jason Behr, American actor 1973 – Ato Boldon, Trinidadian runner, sportscaster, and politician 1974 – Alexandro Alves do Nascimento, Brazilian footballer (d. 2012) 1975 – Scott Chipperfield, Australian footballer 1975 – Tiger Woods, American golfer 1976 – Kastro, American rapper 1976 – Patrick Kerney, American football player 1976 – A. J. Pierzynski, American baseball player and sportscaster 1977 – Laila Ali, American boxer and actress 1977 – Glory Alozie, Nigerian-Spanish sprinter and hurdler 1977 – Grant Balfour, Australian baseball player 1977 – Saša Ilić, Serbian footballer 1977 – Scott Lucas, Australian footballer and coach 1977 – Kenyon Martin, American basketball player 1977 – Lucy Punch, English actress 1977 – Kazuyuki Toda, Japanese footballer 1978 – Devin Brown, American basketball player 1978 – Tyrese Gibson, American singer-songwriter, producer, and actor 1978 – Phillips Idowu, English triple jumper 1978 – Zbigniew Robert Promiński, Polish drummer 1978 – Rob Scuderi, American ice hockey player 1979 – Michael Grimm, American singer-songwriter and guitarist 1979 – Yelawolf, American rapper, singer, songwriter and producer 1980 – Eliza Dushku, American actress and producer 1980 – D. J. Mbenga, Congolese-Belgian basketball player 1980 – Alison McGovern, British politician 1981 – Cédric Carrasso, French footballer 1981 – Ali Al-Habsi, Omani footballer 1981 – Michael Rodríguez, Costa Rican footballer 1981 – Matt Ulrich, American football player 1982 – Kristin Kreuk, Canadian actress 1982 – Tobias Kurbjuweit, German footballer 1982 – Dawan Landry, American football player 1982 – Dathan Ritzenhein, American runner 1983 – Davide Mandorlini, Italian footballer 1983 – Eddie Edwards, American professional wrestler 1983 – Nick Symmonds, American runner 1983 – Kevin Systrom, American computer programmer and businessman, co-founded Instagram 1984 – Randall Azofeifa, Costa Rican footballer 1984 – Andra Day, American singer and songwriter 1984 – LeBron James, American basketball player, producer and businessman 1985 – Lars Boom, Dutch cyclist 1985 – Bryson Goodwin, Australian rugby league player 1986 – Domenico Criscito, Italian footballer 1986 – Ellie Goulding, English singer-songwriter and producer 1986 – Gianni Zuiverloon, Dutch footballer 1986 – Caity Lotz, American actress 1989 – Ryan Sheckler, American skateboarder and entrepreneur 1989 – Kateřina Vaňková, Czech tennis player 1990 – Joe Root, English cricketer 1990 – Bruno Henrique Pinto, Brazilian footballer 1991 – Camila Giorgi, Italian tennis player 1992 – Ryan Tunnicliffe, English footballer 1992 – Carson Wentz, American football player 1995 – V, South Korean singer and actor 1996 – Brad Abbey, New Zealand rugby league player Deaths Pre-1600 274 – Pope Felix I 717 – Egwin of Evesham, bishop of Worcester 903 – Tian Jun, Chinese warlord (b. 858) 925 – Wang Shenzhi, founder of Min (b. 862) 1115 – Theodoric II, Duke of Lorraine 1331 – Bernard Gui, inquisitor (b. 1261 or 1262) 1435 – Bonne of Berry, Regent of Savoy (b. 1362) 1436 – Louis III, Elector Palatine (b. 1378) 1460 – Edmund, Earl of Rutland, Irish politician, Lord Chancellor of Ireland (b. 1443) 1460 – Richard of York, 3rd Duke of York (b. 1411) 1525 – Jakob Fugger, German banker and businessman (b. 1459) 1572 – Galeazzo Alessi, Italian architect, designed the Basilica of Santa Maria degli Angeli (b. 1512) 1573 – Giovanni Battista Giraldi, Italian author and poet (b. 1504) 1591 – Pope Innocent IX (b. 1519) 1601–1900 1621 – Job of Manyava, Ukrainian monk and saint (b. 1550) 1640 – John Francis Regis, French priest and saint (b. 1597) 1643 – Giovanni Baglione, Italian painter and historian of art (b. 1566) 1644 – Jan Baptist van Helmont, Flemish chemist, physiologist, and physician (b. 1577) 1662 – Ferdinand Charles, Archduke of Austria (b. 1628) 1769 – Nicholas Taaffe, 6th Viscount Taaffe, Irish-Austrian soldier and courtier (b. 1685) 1777 – Maximilian III Joseph, Elector of Bavaria (b. 1727) 1788 – Francesco Zuccarelli, Italian painter and academic (b. 1702) 1803 – Francis Lewis, Welsh-American merchant and politician (b. 1713) 1879 – Manuel de Araújo Porto-Alegre, Baron of Santo Ângelo, Brazilian poet and painter (b. 1806) 1885 – Martha Darley Mutrie, British painter (b. 1824) 1896 – José Rizal, Filipino ophthalmologist, journalist, and author (b. 1861) 1901–present 1906 – Josephine Butler, English feminist and social reformer (b. 1828) 1908 – Thomas-Alfred Bernier, Canadian journalist, lawyer, and politician (b. 1844) 1916 – Grigori Rasputin, Russian mystic (b. 1869) 1928 – Jean Collas, French rugby player and tug of war competitor (b. 1874) 1937 – Hans Niels Andersen, Danish businessman, founded the East Asiatic Company (b. 1852) 1940 – Childe Wills, American engineer (b. 1878) 1941 – El Lissitzky, Russian photographer and architect (b. 1890) 1944 – Romain Rolland, French author and playwright, Nobel Prize laureate (b. 1866) 1945 – Song Jin-woo, South Korean journalist and politician (b. 1889) 1947 – Han van Meegeren, Dutch painter (b. 1889) 1947 – Alfred North Whitehead, English-American mathematician and philosopher (b. 1861) 1954 – Archduke Eugen of Austria (b. 1863) 1955 – Rex Ingamells, Australian poet and author (b. 1913) 1967 – Vincent Massey, Canadian lawyer and politician, 18th Governor General of Canada (b. 1887) 1968 – Trygve Lie, Norwegian journalist and politician, first Secretary-General of the United Nations (b. 1896) 1970 – Sonny Liston, American boxer (b. 1932) 1971 – Jo Cals, Dutch lawyer and politician, Prime Minister of the Netherlands (b. 1914) 1971 – Vikram Sarabhai, Indian physicist and academic (b. 1919) 1979 – Richard Rodgers, American playwright and composer (b. 1902) 1982 – Alberto Vargas, Peruvian-American painter and illustrator (b. 1896) 1983 – Violette Cordery, English race car driver (b. 1900) 1986 – Era Bell Thompson, American journalist (b. 1905) 1988 – Yuli Daniel, Russian author and poet (b. 1925) 1988 – Isamu Noguchi, American sculptor and landscaper (b. 1904) 1990 – Raghuvir Sahay, Indian author, poet, and critic (b. 1929) 1992 – Romeo Muller, American actor, screenwriter, for screenplays like the 1964, Rudolph the Red-Nosed Reindeer (TV special) (b. 1928) 1993 – İhsan Sabri Çağlayangil, Turkish lawyer and politician, 20th Turkish Minister of Foreign Affairs (b. 1908) 1993 – Irving "Swifty" Lazar, American talent agent (b. 1907) 1993 – Giuseppe Occhialini, Italian-French physicist and academic (b. 1907) 1994 – Dmitri Ivanenko, Ukrainian-Russian physicist and academic (b. 1904) 1995 – Ralph Flanagan, American pianist, composer, and conductor (b. 1914) 1995 – Doris Grau, American voice actor and script supervisor (b. 1924) 1996 – Lew Ayres, American actor (b. 1908) 1997 – Shinichi Hoshi, Japanese author and illustrator (b. 1926) 1998 – Sam Muchnick, American wrestling promoter, co-founded the National Wrestling Alliance (b. 1905) 1999 – Joff Ellen, Australian comedian and actor (b. 1915) 1999 – Fritz Leonhardt, German engineer, co-designed the Cologne Rodenkirchen Bridge and Fernsehturm Stuttgart (b. 1909) 1999 – Des Renford, Australian swimmer (b. 1927) 1999 – Sarah Knauss, American supercentenarian (b. 1880) 2000 – Julius J. Epstein, American screenwriter and producer (b. 1909) 2002 – Mary Brian, American actress (b. 1906) 2002 – Eleanor J. Gibson, American psychologist and academic (b. 1910) 2002 – Mary Wesley, English author (b. 1912) 2003 – John Gregory Dunne, American novelist, screenwriter, and critic (b. 1932) 2004 – Artie Shaw, American clarinet player, composer, and bandleader (b. 1910) 2005 – Eddie Barlow, South African cricketer and coach (b. 1940) 2005 – Rona Jaffe, American novelist (b. 1932) 2006 – Saddam Hussein, Iraqi general and politician, fifth President of Iraq (b. 1937) 2006 – Terry Peck, Falkland Islander police officer and spy (b. 1938) 2006 – Michel Plasse, Canadian ice hockey player (b. 1948) 2009 – Rowland S. Howard, Australian singer-songwriter and guitarist (b. 1959) 2009 – Abdurrahman Wahid, Indonesian journalist and politician, fourth President of Indonesia (b. 1940) 2010 – Bobby Farrell, Dutch dancer and performer from Aruba (b. 1949) 2011 – Ronald Searle, English-French cartoonist (b. 1920) 2012 – Philip Coppens, Belgian-American journalist and author (b. 1971) 2012 – Beate Sirota Gordon, Austrian-American director and producer (b. 1923) 2012 – Rita Levi-Montalcini, Italian neurologist and academic, Nobel Prize laureate (b. 1909) 2012 – Carl Woese, American microbiologist and biophysicist (b. 1928) 2012 – Dennis Ferguson, Australian sex offender (b. 1948) 2013 – Kinnaird R. McKee, American admiral (b. 1929) 2013 – José María Maguregui, Spanish footballer and manager (b. 1934) 2013 – Eiichi Ohtaki, Japanese singer-songwriter and producer (b. 1948) 2013 – Johnny Orr, American basketball player and coach (b. 1927) 2013 – Paul Sally, American mathematician and academic (b. 1933) 2014 – Terry Becker, American actor, director, and producer (b. 1921) 2014 – Jim Galloway, Scottish-Canadian clarinet player and saxophonist (b. 1936) 2014 – Luise Rainer, German-born American-British actress (b. 1910) 2015 – Doug Atkins, American football player (b. 1930) 2015 – Howard Davis, Jr., American boxer and trainer (b. 1956) 2015 – Mangesh Padgaonkar, Indian poet, playwright, and translator (b. 1929) 2015 – Howard Pawley, Canadian lawyer and politician, 18th Premier of Manitoba (b. 1934) 2017 – Erica Garner, American civil rights activist (b. 1990) 2020 – Dawn Wells, American actress, (b. 1938) Holidays and observances Christian feast day: Abraham the Writer Anysia of Salonika Egwin of Evesham Frances Joseph-Gaudet (Episcopal Church) Liberius of Ravenna Pope Felix I Ralph of Vaucelles Roger of Cannae December 30 (Eastern Orthodox liturgics) Day of the Declaration of Slovakia as an Independent Ecclesiastic Province (Slovakia) Rizal Day (Philippines) The fifth day of Kwanzaa (United States) The sixth of the Twelve Days of Christmas (Western Christianity) References External links BBC: On This Day Historical Events on December 30 Today in Canadian History Days of the year December
8687
https://en.wikipedia.org/wiki/Detroit
Detroit
Detroit (, ; ) is the largest and most populous city in the U.S. state of Michigan, the largest U.S. city on the United States–Canada border, and the county seat of Wayne County. The municipality of Detroit had a population of 639,111 at the 2020 census, making it the 27th-most populous city in the United States. The metropolitan area, known as Metro Detroit, is home to 4.3 million people, making it the second-largest in the Midwest after the Chicago metropolitan area, and 14th-largest in the United States. Regarded as a major cultural center, Detroit is known for its contributions to music and as a repository for art, architecture and design, along with its historical automotive background. Detroit is a major port on the Detroit River, one of the four major straits that connect the Great Lakes system to the Saint Lawrence Seaway. The City of Detroit anchors the second-largest regional economy in the Midwest, behind Chicago and ahead of Minneapolis–Saint Paul, and the 14th-largest in the United States. Detroit is best known as the center of the U.S. automobile industry, and the "Big Three" auto manufacturers General Motors, Ford, and Stellantis North America are all headquartered in Metro Detroit. , the Detroit metropolitan area is the number one exporting region among 310 defined metropolitan areas in the United States. The Detroit Metropolitan Airport is among the most important hubs in the United States. Detroit and its neighboring Canadian city Windsor are connected through a highway tunnel, railway tunnel, and the Ambassador Bridge, which is the second-busiest international crossing in North America, after San Diego–Tijuana. In 1701, Antoine de la Mothe Cadillac founded Fort Pontchartrain du Détroit, the future city of Detroit. During the late nineteenth and early twentieth century, it became an important industrial hub at the center of the Great Lakes region. The city's population became the fourth-largest in the nation in 1920, after only New York City, Chicago and Philadelphia, with the expansion of the auto industry in the early 20th century. As Detroit's industrialization took off, the Detroit River became the busiest commercial hub in the world. The strait carried over 65 million tons of shipping commerce through Detroit to locations all over the world each year; the freight throughput was more than three times that of New York and about four times that of London. By the 1940s, the city's population remained the fourth-largest in the country. However, due to industrial restructuring, the loss of jobs in the auto industry, and rapid suburbanization, among other reasons, Detroit entered a state of urban decay and lost considerable population from the late 20th century to the present. Since reaching a peak of 1.85 million at the 1950 census, Detroit's population has declined by more than 65 percent. In 2013, Detroit became the largest U.S. city to file for bankruptcy, which it successfully exited in December 2014, when the city government regained control of Detroit's finances. Detroit's diverse culture has had both local and international influence, particularly in music, with the city giving rise to the genres of Motown and techno, and playing an important role in the development of jazz, hip-hop, rock, and punk. The rapid growth of Detroit in its boom years resulted in a globally unique stock of architectural monuments and historic places. Since the 2000s conservation efforts have managed to save many architectural pieces and achieved several large-scale revitalizations, including the restoration of several historic theatres and entertainment venues, high-rise renovations, new sports stadiums, and a riverfront revitalization project. More recently, the population of Downtown Detroit, Midtown Detroit, and various other neighborhoods have increased. An increasingly popular tourist destination, Detroit receives 19 million visitors per year. In 2015, Detroit was named a "City of Design" by UNESCO, the first U.S. city to receive that designation. Toponomy Detroit is named after the Detroit River, connecting Lake Huron with Lake Erie. The city's name comes from the French word 'détroit' meaning "strait" as the city was situated on a narrow passage of water linking two rivers. The river was known as “le détroit du Lac Érié," among the French, which meant "the strait of Lake Erie". History Early settlement Paleo-Indian people inhabited areas near Detroit as early as 11,000 years ago including the culture referred to as the Mound-builders. In the 17th century, the region was inhabited by Huron, Odawa, Potawatomi and Iroquois peoples. The area is known by the Anishinaabe people as Waawiiyaataanong, translating to 'where the water curves around'. The first Europeans did not penetrate into the region and reach the straits of Detroit until French missionaries and traders worked their way around the League of the Iroquois, with whom they were at war and other Iroquoian tribes in the 1630s. The Huron and Neutral peoples held the north side of Lake Erie until the 1650s, when the Iroquois pushed both and the Erie people away from the lake and its beaver-rich feeder streams in the Beaver Wars of 1649–1655. By the 1670s, the war-weakened Iroquois laid claim to as far south as the Ohio River valley in northern Kentucky as hunting grounds, and had absorbed many other Iroquoian peoples after defeating them in war. For the next hundred years, virtually no British or French action was contemplated without consultation with, or consideration of the Iroquois' likely response. When the French and Indian War evicted the Kingdom of France from Canada, it removed one barrier to American colonists migrating west. British negotiations with the Iroquois would both prove critical and lead to a Crown policy limiting settlements below the Great Lakes and west of the Alleghenies. Many colonial American would-be migrants resented this restraint and became supporters of the American Revolution. The 1778 raids and resultant 1779 decisive Sullivan Expedition reopened the Ohio Country to westward emigration, which began almost immediately. By 1800 white settlers were pouring westwards. Later settlement The city was named by French colonists, referring to the Detroit River (, meaning the strait of Lake Erie), linking Lake Huron and Lake Erie; in the historical context, the strait included the St. Clair River, Lake St. Clair and the Detroit River. On July 24, 1701, the French explorer Antoine de la Mothe Cadillac, along with more than a hundred other settlers, began constructing a small fort on the north bank of the Detroit River. Cadillac would later name the settlement Fort Pontchartrain du Détroit, after Louis Phélypeaux, comte de Pontchartrain, Minister of Marine under Louis XIV. A church was soon founded here, and the parish was known as Sainte Anne de Détroit. France offered free land to colonists to attract families to Detroit; when it reached a population of 800 in 1765, this was the largest European settlement between Montreal and New Orleans, both also French settlements, in the former colonies of New France and La Louisiane, respectively. By 1773, after the addition of Anglo-American settlers, the population of Detroit was 1,400. By 1778, its population reached 2,144 and it was the third-largest city in what was known as the Province of Quebec since the British takeover of French colonies following their victory in the Seven Years' War. The region's economy was based on the lucrative fur trade, in which numerous Native American people had important roles as trappers and traders. Today the flag of Detroit reflects its French colonial heritage. Descendants of the earliest French and French-Canadian settlers formed a cohesive community, who gradually were superseded as the dominant population after more Anglo-American settlers arrived in the early 19th century with American westward migration. Living along the shores of Lake St. Clair and south to Monroe and downriver suburbs, the ethnic French Canadians of Detroit, also known as Muskrat French in reference to the fur trade, remain a subculture in the region in the 21st century. During the French and Indian War (1754–63), the North American front of the Seven Years' War between Britain and France, British troops gained control of the settlement in 1760 and shortened its name to Detroit. Several regional Native American tribes, such as the Potowatomi, Ojibwe and Huron, launched Pontiac's War in 1763, and laid siege to Fort Detroit, but failed to capture it. In defeat, France ceded its territory in North America east of the Mississippi to Britain following the war. Following the American Revolutionary War and the establishment of the United States as an independent country, Britain ceded Detroit along with other territories in the area under the Jay Treaty (1796), which established the northern border with its colony of Canada. In 1805, a fire destroyed most of the Detroit settlement, which had primarily buildings made of wood. One stone fort, a river warehouse, and brick chimneys of former wooden homes were the sole structures to survive. Of the 600 Detroit residents in this area, none died in the fire. 19th century From 1805 to 1847, Detroit was the capital of Michigan as a territory and as a state. William Hull, the United States commander at Detroit surrendered without a fight to British troops and their Native American allies during the War of 1812 in the Siege of Detroit, believing his forces were vastly outnumbered. The Battle of Frenchtown (January 18–23, 1813) was part of a U.S. effort to retake the city, and U.S. troops suffered their highest fatalities of any battle in the war. This battle is commemorated at River Raisin National Battlefield Park south of Detroit in Monroe County. Detroit was recaptured by the United States later that year. The settlement was incorporated as a city in 1815. As the city expanded, a geometric street plan developed by Augustus B. Woodward was followed, featuring grand boulevards as in Paris. Prior to the American Civil War, the city's access to the Canada–US border made it a key stop for refugee slaves gaining freedom in the North along the Underground Railroad. Many went across the Detroit River to Canada to escape pursuit by slave catchers. An estimated 20,000 to 30,000 African-American refugees settled in Canada. George DeBaptiste was considered to be the "president" of the Detroit Underground Railroad, William Lambert the "vice president" or "secretary", and Laura Haviland the "superintendent". Numerous men from Detroit volunteered to fight for the Union during the American Civil War, including the 24th Michigan Infantry Regiment. It was part of the legendary Iron Brigade, which fought with distinction and suffered 82% casualties at the Battle of Gettysburg in 1863. When the First Volunteer Infantry Regiment arrived to fortify Washington, D.C., President Abraham Lincoln is quoted as saying, "Thank God for Michigan!" George Armstrong Custer led the Michigan Brigade during the Civil War and called them the "Wolverines". During the late 19th century, wealthy industry and shipping magnates commissioned the design and construction of several Gilded Age mansions east and west of the current downtown, along the major avenues of the Woodward plan. Most notable among them was the David Whitney House at 4421 Woodward Avenue, and the grand avenue became a favored address for mansions. During this period, some referred to Detroit as the "Paris of the West" for its architecture, grand avenues in the Paris style, and for Washington Boulevard, recently electrified by Thomas Edison. The city had grown steadily from the 1830s with the rise of shipping, shipbuilding, and manufacturing industries. Strategically located along the Great Lakes waterway, Detroit emerged as a major port and transportation hub. In 1896, a thriving carriage trade prompted Henry Ford to build his first automobile in a rented workshop on Mack Avenue. During this growth period, Detroit expanded its borders by annexing all or part of several surrounding villages and townships. 20th century In 1903, Henry Ford founded the Ford Motor Company. Ford's manufacturing—and those of automotive pioneers William C. Durant, the Dodge Brothers, Packard, and Walter Chrysler—established Detroit's status in the early 20th century as the world's automotive capital. The growth of the auto industry was reflected by changes in businesses throughout the Midwest and nation, with the development of garages to service vehicles and gas stations, as well as factories for parts and tires. In 1907, the Detroit River carried 67,292,504 tons of shipping commerce through Detroit to locations all over the world. For comparison, London shipped 18,727,230 tons, and New York shipped 20,390,953 tons. The river was dubbed "the Greatest Commercial Artery on Earth" by The Detroit News in 1908. With the rapid growth of industrial workers in the auto factories, labor unions such as the American Federation of Labor and the United Auto Workers fought to organize workers to gain them better working conditions and wages. They initiated strikes and other tactics in support of improvements such as the 8-hour day/40-hour work week, increased wages, greater benefits, and improved working conditions. The labor activism during those years increased the influence of union leaders in the city such as Jimmy Hoffa of the Teamsters and Walter Reuther of the Autoworkers. Due to the booming auto industry, Detroit became the fourth-largest city in the nation in 1920, following New York City, Chicago and Philadelphia. The prohibition of alcohol from 1920 to 1933 resulted in the Detroit River becoming a major conduit for smuggling of illegal Canadian spirits. Detroit, like many places in the United States, developed racial conflict and discrimination in the 20th century following the rapid demographic changes as hundreds of thousands of new workers were attracted to the industrial city; in a short period, it became the fourth-largest city in the nation. The Great Migration brought rural blacks from the South; they were outnumbered by southern whites who also migrated to the city. Immigration brought southern and eastern Europeans of Catholic and Jewish faith; these new groups competed with native-born whites for jobs and housing in the booming city. Detroit was one of the major Midwest cities that was a site for the dramatic urban revival of the Ku Klux Klan beginning in 1915. "By the 1920s the city had become a stronghold of the KKK", whose members primarily opposed Catholic and Jewish immigrants, but also practiced discrimination against Black Americans. Even after the decline of the KKK in the late 1920s, the Black Legion, a secret vigilante group, was active in the Detroit area in the 1930s. One-third of its estimated 20,000 to 30,000 members in Michigan were based in the city. It was defeated after numerous prosecutions following the kidnapping and murder in 1936 of Charles Poole, a Catholic organizer with the federal Works Progress Administration. Some 49 men of the Black Legion were convicted of numerous crimes, with many sentenced to life in prison for murder. In the 1940s the world's "first urban depressed freeway" ever built, the Davison, was constructed in Detroit. During World War II, the government encouraged retooling of the American automobile industry in support of the Allied powers, leading to Detroit's key role in the American Arsenal of Democracy. Jobs expanded so rapidly due to the defense buildup in World War II that 400,000 people migrated to the city from 1941 to 1943, including 50,000 blacks in the second wave of the Great Migration, and 350,000 whites, many of them from the South. Whites, including ethnic Europeans, feared black competition for jobs and scarce housing. The federal government prohibited discrimination in defense work, but when in June 1943 Packard promoted three black people to work next to whites on its assembly lines, 25,000 white workers walked off the job. The Detroit race riot of 1943 took place in June, three weeks after the Packard plant protest, beginning with an altercation at Belle Isle. Blacks suffered 25 deaths (of a total of 34), three-quarters of 600 wounded, and most of the losses due to property damage. Rioters moved through the city, and young whites traveled across town to attack more settled blacks in their neighborhood of Paradise Valley. Postwar era Industrial mergers in the 1950s, especially in the automobile sector, increased oligopoly in the American auto industry. Detroit manufacturers such as Packard and Hudson merged into other companies and eventually disappeared. At its peak population of 1,849,568, in the 1950 Census, the city was the 5th-largest in the United States, after New York City, Chicago, Philadelphia and Los Angeles. In this postwar era, the auto industry continued to create opportunities for many African Americans from the South, who continued with their Great Migration to Detroit and other northern and western cities to escape the strict Jim Crow laws and racial discrimination policies of the South. Postwar Detroit was a prosperous industrial center of mass production. The auto industry comprised about 60% of all industry in the city, allowing space for a plethora of separate booming businesses including stove making, brewing, furniture building, oil refineries, pharmaceutical manufacturing, and more. The expansion of jobs created unique opportunities for black Americans, who saw novel high employment rates: there was a 103% increase in the number of blacks employed in postwar Detroit. Black Americans who immigrated to northern industrial cities from the south still faced intense racial discrimination in the employment sector. Racial discrimination kept the workforce and better jobs predominantly white, while many black Detroiters held lower-paying factory jobs. Despite changes in demographics as the city's black population expanded, Detroit's police force, fire department, and other city jobs continued to be held by predominantly white residents. This created an unbalanced racial power dynamic. Unequal opportunities in employment resulted in unequal housing opportunities for the majority of the black community: with overall lower incomes and facing the backlash of discriminatory housing policies, the black community was limited to lower cost, lower quality housing in the city. The surge in Detroit's black population with the Great Migration augmented the strain on housing scarcity. The liveable areas available to the black community were limited, and as a result, families often crowded together in unsanitary, unsafe, and illegal quarters. Such discrimination became increasingly evident in the policies of redlining implemented by banks and federal housing groups, which almost completely restricted the ability of blacks to improve their housing and encouraged white people to guard the racial divide that defined their neighborhoods. As a result, black people were often denied bank loans to obtain better housing, and interest rates and rents were unfairly inflated to prevent their moving into white neighborhoods. White residents and political leaders largely opposed the influx of black Detroiters to white neighborhoods, believing that their presence would lead to neighborhood deterioration (most predominantly black neighborhoods deteriorated due to local and federal governmental neglect). This perpetuated a cyclical exclusionary process that marginalized the agency of black Detroiters by trapping them in the unhealthiest, least safe areas of the city. As in other major American cities in the postwar era, construction of a federally subsidized, extensive highway and freeway system around Detroit, and pent-up demand for new housing stimulated suburbanization; highways made commuting by car for higher-income residents easier. However, this construction had negative implications for many lower-income urban residents. Highways were constructed through and completely demolished neighborhoods of poor residents and black communities who had less political power to oppose them. The neighborhoods were mostly low income, considered blighted, or made up of older housing where investment had been lacking due to racial redlining, so the highways were presented as a kind of urban renewal. These neighborhoods (such as Black Bottom and Paradise Valley) were extremely important to the black communities of Detroit, providing spaces for independent black businesses and social/cultural organizations. Their destruction displaced residents with little consideration of the effects of breaking up functioning neighborhoods and businesses. In 1956, Detroit's last heavily used electric streetcar line, which traveled along the length of Woodward Avenue, was removed and replaced with gas-powered buses. It was the last line of what had once been a 534-mile network of electric streetcars. In 1941 at peak times, a streetcar ran on Woodward Avenue every 60 seconds. All of these changes in the area's transportation system favored low-density, auto-oriented development rather than high-density urban development. Industry also moved to the suburbs, seeking large plots of land for single-story factories. By the 21st century, the metro Detroit area had developed as one of the most sprawling job markets in the United States; combined with poor public transport, this resulted in many new jobs being beyond the reach of urban low-income workers. In 1950, the city held about one-third of the state's population, anchored by its industries and workers. Over the next sixty years, the city's population declined to less than 10 percent of the state's population. During the same time period, the sprawling Detroit metropolitan area, which surrounds and includes the city, grew to contain more than half of Michigan's population. The shift of population and jobs eroded Detroit's tax base. In June 1963, Rev. Martin Luther King Jr. gave a major speech as part of a civil rights march in Detroit that foreshadowed his "I Have a Dream" speech in Washington, D.C., two months later. While the civil rights movement gained significant federal civil rights laws in 1964 and 1965, longstanding inequities resulted in confrontations between the police and inner-city black youth who wanted change. Longstanding tensions in Detroit culminated in the Twelfth Street riot in July 1967. Governor George W. Romney ordered the Michigan National Guard into Detroit, and President Johnson sent in U.S. Army troops. The result was 43 dead, 467 injured, over 7,200 arrests, and more than 2,000 buildings destroyed, mostly in black residential and business areas. Thousands of small businesses closed permanently or relocated to safer neighborhoods. The affected district lay in ruins for decades. It was the most costly riot in the United States. On August 18, 1970, the NAACP filed suit against Michigan state officials, including Governor William Milliken, charging de facto public school segregation. The NAACP argued that although schools were not legally segregated, the city of Detroit and its surrounding counties had enacted policies to maintain racial segregation in public schools. The NAACP also suggested a direct relationship between unfair housing practices and educational segregation, as the composition of students in the schools followed segregated neighborhoods. The District Court held all levels of government accountable for the segregation in its ruling. The Sixth Circuit Court affirmed some of the decision, holding that it was the state's responsibility to integrate across the segregated metropolitan area. The U.S. Supreme Court took up the case February 27, 1974. The subsequent Milliken v. Bradley decision had nationwide influence. In a narrow decision, the US Supreme Court found schools were a subject of local control, and suburbs could not be forced to aid with the desegregation of the city's school district. "Milliken was perhaps the greatest missed opportunity of that period", said Myron Orfield, professor of law at the University of Minnesota. "Had that gone the other way, it would have opened the door to fixing nearly all of Detroit's current problems." John Mogk, a professor of law and an expert in urban planning at Wayne State University in Detroit, says, Everybody thinks that it was the riots [in 1967] that caused the white families to leave. Some people were leaving at that time but, really, it was after Milliken that you saw mass flight to the suburbs. If the case had gone the other way, it is likely that Detroit would not have experienced the steep decline in its tax base that has occurred since then. 1970s and decline In November 1973, the city elected Coleman Young as its first black mayor. After taking office, Young emphasized increasing racial diversity in the police department, which was predominately white. Young also worked to improve Detroit's transportation system, but the tension between Young and his suburban counterparts over regional matters was problematic throughout his mayoral term. In 1976, the federal government offered $600 million for building a regional rapid transit system, under a single regional authority. But the inability of Detroit and its suburban neighbors to solve conflicts over transit planning resulted in the region losing the majority of funding for rapid transit. Following the failure to reach a regional agreement over the larger system, the city moved forward with construction of the elevated downtown circulator portion of the system, which became known as the Detroit People Mover. The gasoline crises of 1973 and 1979 also affected Detroit and the U.S. auto industry. Buyers chose smaller, more fuel-efficient cars made by foreign makers as the price of gas rose. Efforts to revive the city were stymied by the struggles of the auto industry, as their sales and market share declined. Automakers laid off thousands of employees and closed plants in the city, further eroding the tax base. To counteract this, the city used eminent domain to build two large new auto assembly plants in the city. As mayor, Young sought to revive the city by seeking to increase investment in the city's declining downtown. The Renaissance Center, a mixed-use office and retail complex, opened in 1977. This group of skyscrapers was an attempt to keep businesses in downtown. Young also gave city support to other large developments to attract middle and upper-class residents back to the city. Despite the Renaissance Center and other projects, the downtown area continued to lose businesses to the automobile-dependent suburbs. Major stores and hotels closed, and many large office buildings went vacant. Young was criticized for being too focused on downtown development and not doing enough to lower the city's high crime rate and improve city services to residents. High unemployment was compounded by middle-class flight to the suburbs, and some residents leaving the state to find work. The result for the city was a higher proportion of poor in its population, reduced tax base, depressed property values, abandoned buildings, abandoned neighborhoods, high crime rates, and a pronounced demographic imbalance. 1980s On August 16, 1987, Northwest Airlines Flight 255 crashed near Detroit, killing all but one of the 155 people on board, as well as two people on the ground. 1990s & 2000s In 1993, Young retired as Detroit's longest-serving mayor, deciding not to seek a sixth term. That year the city elected Dennis Archer, a former Michigan Supreme Court justice. Archer prioritized downtown development and easing tensions with Detroit's suburban neighbors. A referendum to allow casino gambling in the city passed in 1996; several temporary casino facilities opened in 1999, and permanent downtown casinos with hotels opened in 2007–08. Campus Martius, a reconfiguration of downtown's main intersection as a new park, was opened in 2004. The park has been cited as one of the best public spaces in the United States. The city's riverfront on the Detroit River has been the focus of redevelopment, following successful examples of other older industrial cities. In 2001, the first portion of the International Riverfront was completed as a part of the city's 300th-anniversary celebration. 2010s In September 2008, Mayor Kwame Kilpatrick (who had served for six years) resigned following felony convictions. In 2013, Kilpatrick was convicted on 24 federal felony counts, including mail fraud, wire fraud, and racketeering, and was sentenced to 28 years in federal prison. The former mayor's activities cost the city an estimated $20 million. The city's financial crisis resulted in Michigan taking over administrative control of its government. The state governor declared a financial emergency in March 2013, appointing Kevyn Orr as emergency manager. On July 18, 2013, Detroit became the largest U.S. city to file for bankruptcy. It was declared bankrupt by U.S. District Court on December 3, 2013, in light of the city's $18.5 billion debt and its inability to fully repay its thousands of creditors. On November 7, 2014, the city's plan for exiting bankruptcy was approved. The following month, on December 11, the city officially exited bankruptcy. The plan allowed the city to eliminate $7 billion in debt and invest $1.7 billion into improved city services. One way the city obtained this money was through the Detroit Institute of the Arts. Holding over 60,000 pieces of art worth billions of dollars, some saw it as the key to funding this investment. The city came up with a plan to monetize the art and sell it leading to the DIA becoming a private organization. After months of legal battles, the city finally got hundreds of millions of dollars towards funding a new Detroit. One of the largest post-bankruptcy efforts to improve city services has been to work to fix the city's broken street lighting system. At one time it was estimated that 40% of lights were not working, which resulted in public safety issues and abandonment of housing. The plan called for replacing outdated high-pressure sodium lights with 65,000 LED lights. Construction began in late 2014 and finished in December 2016; Detroit is the largest U.S. city with all LED street lighting. In the 2010s, several initiatives were taken by Detroit's citizens and new residents to improve the cityscape by renovating and revitalizing neighborhoods. Such projects include volunteer renovation groups and various urban gardening movements. Miles of associated parks and landscaping have been completed in recent years. In 2011, the Port Authority Passenger Terminal opened, with the riverwalk connecting Hart Plaza to the Renaissance Center. The well-known symbol of the city's decades-long demise, the Michigan Central Station, was long vacant. The city renovated it with new windows, elevators and facilities since 2015. In 2018, Ford Motor Company purchased the building and plans to use it for mobility testing with a potential return of train service. Several other landmark buildings have been privately renovated and adapted as condominiums, hotels, offices, or for cultural uses. Detroit is mentioned as a city of renaissance and has reversed many of the trends of the prior decades. The city has also seen a rise in gentrification. In downtown, for example, the construction of Little Caesars Arena brought with it new, high class shops and restaurants up and down Woodward Ave. Office tower and condominium construction has led to an influx of wealthy families, but also a displacement of long-time residents and culture. Areas outside of downtown and other recently revived areas have an average household income of about 25% less than the gentrified areas, a gap that is continuing to grow. Rents and cost of living in these gentrified areas rise every year, pushing minorities and the poor out, causing more and more racial disparity and separation in the city. The cost of even just a one-bedroom loft in Rivertown can be up to $300,000, with a 5-year sale price change of over 500% and an average income rising by 18%. Geography Metropolitan area Detroit is the center of a three-county urban area (with a population of 3,734,090 within an area of according to the 2010 United States Census), six-county metropolitan statistical area (population of 4,296,250 in an area of as of the 2010 census), and a nine-county Combined Statistical Area (population of 5.3 million within ). Topography According to the U.S. Census Bureau, the city has a total area of , of which is land and is water. Detroit is the principal city in Metro Detroit and Southeast Michigan. It is situated in the Midwestern United States and the Great Lakes region. The Detroit River International Wildlife Refuge is the only international wildlife preserve in North America, and is uniquely located in the heart of a major metropolitan area. The Refuge includes islands, coastal wetlands, marshes, shoals, and waterfront lands along of the Detroit River and Western Lake Erie shoreline. The city slopes gently from the northwest to southeast on a till plain composed largely of glacial and lake clay. The most notable topographical feature in the city is the Detroit Moraine, a broad clay ridge on which the older portions of Detroit and Windsor are located, rising approximately above the river at its highest point. The highest elevation in the city is directly north of Gorham Playground on the northwest side approximately three blocks south of 8 Mile Road, at a height of . Detroit's lowest elevation is along the Detroit River, at a surface height of . Belle Isle Park is a island park in the Detroit River, between Detroit and Windsor, Ontario. It is connected to the mainland by the MacArthur Bridge in Detroit. Belle Isle Park contains such attractions as the James Scott Memorial Fountain, the Belle Isle Conservatory, the Detroit Yacht Club on an adjacent island, a half-mile (800 m) beach, a golf course, a nature center, monuments, and gardens. The city skyline may be viewed from the island. Three road systems cross the city: the original French template, with avenues radiating from the waterfront, and true north–south roads based on the Northwest Ordinance township system. The city is north of Windsor, Ontario. Detroit is the only major city along the Canada–U.S. border in which one travels south in order to cross into Canada. Detroit has four border crossings: the Ambassador Bridge and the Detroit–Windsor Tunnel provide motor vehicle thoroughfares, with the Michigan Central Railway Tunnel providing railroad access to and from Canada. The fourth border crossing is the Detroit–Windsor Truck Ferry, near the Windsor Salt Mine and Zug Island. Near Zug Island, the southwest part of the city was developed over a salt mine that is below the surface. The Detroit salt mine run by the Detroit Salt Company has over of roads within. Climate Detroit and the rest of southeastern Michigan have a hot-summer humid continental climate (Köppen: Dfa) which is influenced by the Great Lakes like other places in the state; the city and close-in suburbs are part of USDA Hardiness zone 6b, while the more distant northern and western suburbs generally are included in zone 6a. Winters are cold, with moderate snowfall and temperatures not rising above freezing on an average 44 days annually, while dropping to or below on an average 4.4 days a year; summers are warm to hot with temperatures exceeding on 12 days. The warm season runs from May to September. The monthly daily mean temperature ranges from in January to in July. Official temperature extremes range from on July 24, 1934, down to on January 21, 1984; the record low maximum is on January 19, 1994, while, conversely the record high minimum is on August 1, 2006, the most recent of five occurrences. A decade or two may pass between readings of or higher, which last occurred July 17, 2012. The average window for freezing temperatures is October 20 thru April 22, allowing a growing season of 180 days. Precipitation is moderate and somewhat evenly distributed throughout the year, although the warmer months such as May and June average more, averaging annually, but historically ranging from in 1963 to in 2011. Snowfall, which typically falls in measurable amounts between November 15 through April 4 (occasionally in October and very rarely in May), averages per season, although historically ranging from in 1881–82 to in 2013–14. A thick snowpack is not often seen, with an average of only 27.5 days with or more of snow cover. Thunderstorms are frequent in the Detroit area. These usually occur during spring and summer. Cityscape Architecture Seen in panorama, Detroit's waterfront shows a variety of architectural styles. The post modern Neo-Gothic spires of the One Detroit Center (1993) were designed to refer to the city's Art Deco skyscrapers. Together with the Renaissance Center, these buildings form a distinctive and recognizable skyline. Examples of the Art Deco style include the Guardian Building and Penobscot Building downtown, as well as the Fisher Building and Cadillac Place in the New Center area near Wayne State University. Among the city's prominent structures are United States' largest Fox Theatre, the Detroit Opera House, and the Detroit Institute of Arts, all built in the early 20th century. While the Downtown and New Center areas contain high-rise buildings, the majority of the surrounding city consists of low-rise structures and single-family homes. Outside of the city's core, residential high-rises are found in upper-class neighborhoods such as the East Riverfront, extending toward Grosse Pointe, and the Palmer Park neighborhood just west of Woodward. The University Commons-Palmer Park district in northwest Detroit, near the University of Detroit Mercy and Marygrove College, anchors historic neighborhoods including Palmer Woods, Sherwood Forest, and the University District. Forty-two significant structures or sites are listed on the National Register of Historic Places. Neighborhoods constructed prior to World War II feature the architecture of the times, with wood-frame and brick houses in the working-class neighborhoods, larger brick homes in middle-class neighborhoods, and ornate mansions in upper-class neighborhoods such as Brush Park, Woodbridge, Indian Village, Palmer Woods, Boston-Edison, and others. Some of the oldest neighborhoods are along the major Woodward and East Jefferson corridors, which formed spines of the city. Some newer residential construction may also be found along the Woodward corridor and in the far west and northeast. The oldest extant neighborhoods include West Canfield and Brush Park. There have been multi-million dollar restorations of existing homes and construction of new homes and condominiums here. The city has one of the United States' largest surviving collections of late 19th- and early 20th-century buildings. Architecturally significant churches and cathedrals in the city include St. Joseph's, Old St. Mary's, the Sweetest Heart of Mary, and the Cathedral of the Most Blessed Sacrament. The city has substantial activity in urban design, historic preservation, and architecture. A number of downtown redevelopment projects—of which Campus Martius Park is one of the most notable—have revitalized parts of the city. Grand Circus Park and historic district is near the city's theater district; Ford Field, home of the Detroit Lions, and Comerica Park, home of the Detroit Tigers. Little Caesars Arena, a new home for the Detroit Red Wings and the Detroit Pistons, with attached residential, hotel, and retail use, opened on September 5, 2017. The plans for the project call for mixed-use residential on the blocks surrounding the arena and the renovation of the vacant 14-story Eddystone Hotel. It will be a part of The District Detroit, a group of places owned by Olympia Entertainment Inc., including Comerica Park and the Detroit Opera House, among others. The Detroit International Riverfront includes a partially completed three-and-one-half-mile riverfront promenade with a combination of parks, residential buildings, and commercial areas. It extends from Hart Plaza to the MacArthur Bridge, which connects to Belle Isle Park, the largest island park in a U.S. city. The riverfront includes Tri-Centennial State Park and Harbor, Michigan's first urban state park. The second phase is a extension from Hart Plaza to the Ambassador Bridge for a total of of parkway from bridge to bridge. Civic planners envision the pedestrian parks will stimulate residential redevelopment of riverfront properties condemned under eminent domain. Other major parks include River Rouge (in the southwest side), the largest park in Detroit; Palmer (north of Highland Park) and Chene Park (on the east river downtown). Neighborhoods Detroit has a variety of neighborhood types. The revitalized Downtown, Midtown, and New Center areas feature many historic buildings and are high density, while further out, particularly in the northeast and on the fringes, high vacancy levels are problematic, for which a number of solutions have been proposed. In 2007, Downtown Detroit was recognized as the best city neighborhood in which to retire among the United States' largest metro areas by CNNMoney editors. Lafayette Park is a revitalized neighborhood on the city's east side, part of the Ludwig Mies van der Rohe residential district. The development was originally called the Gratiot Park. Planned by Mies van der Rohe, Ludwig Hilberseimer and Alfred Caldwell it includes a landscaped, park with no through traffic, in which these and other low-rise apartment buildings are situated. Immigrants have contributed to the city's neighborhood revitalization, especially in southwest Detroit. Southwest Detroit has experienced a thriving economy in recent years, as evidenced by new housing, increased business openings and the recently opened Mexicantown International Welcome Center. The city has numerous neighborhoods consisting of vacant properties resulting in low inhabited density in those areas, stretching city services and infrastructure. These neighborhoods are concentrated in the northeast and on the city's fringes. A 2009 parcel survey found about a quarter of residential lots in the city to be undeveloped or vacant, and about 10% of the city's housing to be unoccupied. The survey also reported that most (86%) of the city's homes are in good condition with a minority (9%) in fair condition needing only minor repairs. To deal with vacancy issues, the city has begun demolishing the derelict houses, razing 3,000 of the total 10,000 in 2010, but the resulting low density creates a strain on the city's infrastructure. To remedy this, a number of solutions have been proposed including resident relocation from more sparsely populated neighborhoods and converting unused space to urban agricultural use, including Hantz Woodlands, though the city expects to be in the planning stages for up to another two years. Public funding and private investment have also been made with promises to rehabilitate neighborhoods. In April 2008, the city announced a $300-million stimulus plan to create jobs and revitalize neighborhoods, financed by city bonds and paid for by earmarking about 15% of the wagering tax. The city's working plans for neighborhood revitalizations include 7-Mile/Livernois, Brightmoor, East English Village, Grand River/Greenfield, North End, and Osborn. Private organizations have pledged substantial funding to the efforts. Additionally, the city has cleared a section of land for large-scale neighborhood construction, which the city is calling the Far Eastside Plan. In 2011, Mayor Dave Bing announced a plan to categorize neighborhoods by their needs and prioritize the most needed services for those neighborhoods. Demographics In the 2020 United States Census, the city had 639,111 residents, ranking it the 27th most populous city in the United States. 2020 census Note: the US Census treats Hispanic/Latino as an ethnic category. This table excludes Latinos from the racial categories and assigns them to a separate category. Hispanics/Latinos can be of any race. Of the large shrinking cities in the United States, Detroit has had the most dramatic decline in the population of the past 70 years (down 1,210,457) and the second-largest percentage decline (down 65.4%). While the drop in Detroit's population has been ongoing since 1950, the most dramatic period was the significant 25% decline between the 2000 and 2010 Census. Previously a major population center and site of worldwide automobile manufacturing, Detroit has suffered a long economic decline produced by numerous factors. Like many industrial American cities, Detroit's peak population was in 1950, before postwar suburbanization took effect. The peak population was 1.8 million people. Following suburbanization, industrial restructuring, and loss of jobs (as described above), by the 2010 census, the city had less than 40 percent of that number, with just over 700,000 residents. The city has declined in population in each census since 1950. The population collapse has resulted in large numbers of abandoned homes and commercial buildings, and areas of the city hit hard by urban decay. Detroit's 639,111 residents represent 269,445 households, and 162,924 families residing in the city. The population density was 5,144.3 people per square mile (1,895/km2). There were 349,170 housing units at an average density of 2,516.5 units per square mile (971.6/km2). Housing density has declined. The city has demolished thousands of Detroit's abandoned houses, planting some areas and in others allowing the growth of urban prairie. Of the 269,445 households, 34.4% had children under the age of 18 living with them, 21.5% were married couples living together, 31.4% had a female householder with no husband present, 39.5% were non-families, 34.0% were made up of individuals, and 3.9% had someone living alone who was 65 years of age or older. The average household size was 2.59, and the average family size was 3.36. There was a wide distribution of age in the city, with 31.1% under the age of 18, 9.7% from 18 to 24, 29.5% from 25 to 44, 19.3% from 45 to 64, and 10.4% 65 years of age or older. The median age was 31 years. For every 100 females, there were 89.1 males. For every 100 females age 18 and over, there were 83.5 males. Religion According to a 2014 study, 67% of the population of the city identified themselves as Christians, with 49% professing attendance at Protestant churches, and 16% professing Roman Catholic beliefs, while 24% claim no religious affiliation. Other religions collectively make up about 8% of the population. Income and employment The loss of industrial and working-class jobs in the city has resulted in high rates of poverty and associated problems. From 2000 to 2009, the city's estimated median household income fell from $29,526 to $26,098. the mean income of Detroit is below the overall U.S. average by several thousand dollars. Of every three Detroit residents, one lives in poverty. Luke Bergmann, author of Getting Ghost: Two Young Lives and the Struggle for the Soul of an American City, said in 2010, "Detroit is now one of the poorest big cities in the country". In the 2018 American Community Survey, median household income in the city was $31,283, compared with the median for Michigan of $56,697. The median income for a family was $36,842, well below the state median of $72,036. 33.4% of families had income at or below the federally defined poverty level. Out of the total population, 47.3% of those under the age of 18 and 21.0% of those 65 and older had income at or below the federally defined poverty line. Oakland County in Metro Detroit, once rated amongst the wealthiest US counties per household, is no longer shown in the top 25 listing of Forbes magazine. But internal county statistical methods—based on measuring per capita income for counties with more than one million residents—show Oakland is still within the top 12, slipping from the 4th-most affluent such county in the U.S. in 2004 to 11th-most affluent in 2009. Detroit dominates Wayne County, which has an average household income of about $38,000, compared to Oakland County's $62,000. Race and ethnicity Beginning with the rise of the automobile industry, Detroit's population increased more than sixfold during the first half of the 20th century as an influx of European, Middle Eastern (Lebanese, Assyrian/Chaldean), and Southern migrants brought their families to the city. With this economic boom following World War I, the African American population grew from a mere 6,000 in 1910 to more than 120,000 by 1930. This influx of thousands of African Americans in the 20th century became known as the Great Migration. Some of the original white families in Detroit saw this increase in diversity as a threat to their way of life, resulting in the isolation of some black people from their neighborhoods, workplaces, and public institutions. The growth of the black population did see a concurrent increase in crime rates, affecting both black and white residents. Perhaps one of the most overt examples of neighborhood discrimination occurred in 1925 when African American physician Ossian Sweet found his home surrounded by an angry mob of his hostile white neighbors violently protesting his new move into a traditionally white neighborhood. Sweet and ten of his family members and friends were put on trial for murder as one of the mob members throwing rocks at the newly purchased house was shot and killed by someone firing out of a second-floor window. Many middle-class families experienced the same kind of hostility as they sought the security of homeownership and the potential for upward mobility. Detroit has a relatively large Mexican-American population. In the early 20th century, thousands of Mexicans came to Detroit to work in agricultural, automotive, and steel jobs. During the Mexican Repatriation of the 1930s many Mexicans in Detroit were willingly repatriated or forced to repatriate. By the 1940s much of the Mexican community began to settle what is now Mexicantown. After World War II, many people from Appalachia also settled in Detroit. Appalachians formed communities and their children acquired southern accents. Many Lithuanians also settled in Detroit during the World War II era, especially on the city's Southwest side in the West Vernor area, where the renovated Lithuanian Hall reopened in 2006. By 1940, 80% of Detroit deeds contained restrictive covenants prohibiting African Americans from buying houses they could afford. These discriminatory tactics were successful as a majority of black people in Detroit resorted to living in all-black neighborhoods such as Black Bottom and Paradise Valley. At this time, white people still made up about 90.4% of the city's population. From the 1940s to the 1970s a second wave of black people moved to Detroit in search of employment and with the desire to escape the Jim Crow laws enforcing segregation in the south. However, they soon found themselves once again excluded from many opportunities in Detroit—through violence and policy perpetuating economic discrimination (e.g., redlining). White residents attacked black homes: breaking windows, starting fires, and detonating bombs. An especially grueling result of this increasing competition between black and white people was the Riot of 1943 that had violent ramifications. This era of intolerance made it almost impossible for African Americans to be successful without access to proper housing or the economic stability to maintain their homes and the conditions of many neighborhoods began to decline. In 1948, the landmark Supreme Court case of Shelley v. Kraemer outlawed restrictive covenants and while racism in housing did not disappear, it allowed affluent black families to begin moving to traditionally white neighborhoods. Many white families with the financial ability moved to the suburbs of Detroit taking their jobs and tax dollars with them. By 1950, much of the city's white population had moved to the suburbs as macrostructural processes such as "white flight" and "suburbanization" led to a complete population shift. The Detroit riot of 1967 is considered to be one of the greatest racial turning points in the history of the city. The ramifications of the uprising were widespread as there were many allegations of white police brutality towards Black Americans and over $36 million of insured property was lost. Discrimination and deindustrialization in tandem with racial tensions that had been intensifying in the previous years boiled over and led to an event considered to be the most damaging in Detroit's history. The population of Latinos significantly increased in the 1990s due to immigration from Jalisco. By 2010 Detroit had 48,679 Hispanics, including 36,452 Mexicans: a 70% increase from 1990. While African Americans previously comprised only 13% of Michigan's population, by 2010 they made up nearly 82% of Detroit's population. The next largest population groups were white people, at 10%, and Hispanics, at 6%. In 2001, 103,000 Jews, or about 1.9% of the population, were living in the Detroit area, in both Detroit and Ann Arbor. According to the 2010 census, segregation in Detroit has decreased in absolute and relative terms and in the first decade of the 21st century, about two-thirds of the total black population in the metropolitan area resided within the city limits of Detroit. The number of integrated neighborhoods increased from 100 in 2000 to 204 in 2010. Detroit also moved down the ranking from number one most segregated city to number four. A 2011 op-ed in The New York Times attributed the decreased segregation rating to the overall exodus from the city, cautioning that these areas may soon become more segregated. This pattern already happened in the 1970s, when apparent integration was a precursor to white flight and resegregation. Over a 60-year period, white flight occurred in the city. According to an estimate of the Michigan Metropolitan Information Center, from 2008 to 2009 the percentage of non-Hispanic White residents increased from 8.4% to 13.3%. As the city has become more gentrified, some empty nesters and many young white people have moved into the city, increasing housing values and once again forcing African Americans to move. Gentrification in Detroit has become a rather controversial issue as reinvestment will hopefully lead to economic growth and an increase in population; however, it has already forced many black families to relocate to the suburbs. Despite revitalization efforts, Detroit remains one of the most racially segregated cities in the United States. One of the implications of racial segregation, which correlates with class segregation, may correlate to overall worse health for some populations. Asians and Asian Americans As of 2002, of all of the municipalities in the Wayne County-Oakland County-Macomb County area, Detroit had the second-largest Asian population. As of that year, Detroit's percentage of Asians was 1%, far lower than the 13.3% of Troy. By 2000 Troy had the largest Asian American population in the tri-county area, surpassing Detroit. There are four areas in Detroit with significant Asian and Asian American populations. Northeast Detroit has population of Hmong with a smaller group of Lao people. A portion of Detroit next to eastern Hamtramck includes Bangladeshi Americans, Indian Americans, and Pakistani Americans; nearly all of the Bangladeshi population in Detroit lives in that area. Many of those residents own small businesses or work in blue-collar jobs, and the population is mostly Muslim. The area north of Downtown Detroit, including the region around the Henry Ford Hospital, the Detroit Medical Center, and Wayne State University, has transient Asian national origin residents who are university students or hospital workers. Few of them have permanent residency after schooling ends. They are mostly Chinese and Indian but the population also includes Filipinos, Koreans, and Pakistanis. In Southwest Detroit and western Detroit there are smaller, scattered Asian communities including an area in the westside adjacent to Dearborn and Redford Township that has a mostly Indian Asian population, and a community of Vietnamese and Laotians in Southwest Detroit. , the city has one of the U.S.'s largest concentrations of Hmong Americans. In 2006, the city had about 4,000 Hmong and other Asian immigrant families. Most Hmong live east of Coleman Young Airport near Osborn High School. Hmong immigrant families generally have lower incomes than those of suburban Asian families. Crime Detroit has gained notoriety for its high amount of crime, having struggled with it for decades. The number of homicides peaked in 1974 at 714 and again in 1991 with 615. The murder rate for the city has gone up and down throughout the years averaging over 400 murders with a population of over 1,000,000 residents. The crime rate however has been above the national average since the 1970s. Crime has since decreased and, in 2014, the murder rate was 43.4 per 100,000, lower than in St. Louis. The city's downtown typically has lower crime than national and state averages. According to a 2007 analysis, Detroit officials note about 65 to 70 percent of homicides in the city were drug related, with the rate of unsolved murders roughly 70%. Although the rate of violent crime dropped 11% in 2008, violent crime in Detroit has not declined as much as the national average from 2007 to 2011. The violent crime rate is one of the highest in the United States. Neighborhoodscout.com reported a crime rate of 62.18 per 1,000 residents for property crimes, and 16.73 per 1,000 for violent crimes (compared to national figures of 32 per 1,000 for property crimes and 5 per 1,000 for violent crime in 2008). In 2012, crime in the city was among the reasons for more expensive car insurance. About half of all murders in Michigan in 2015 occurred in Detroit. Annual statistics released by the Detroit Police Department for 2016 indicate that while the city's overall crime rate declined that year, the murder rate rose from 2015. In 2016 there were 302 homicides in Detroit, a 2.37% increase in the number of murder victims from the preceding year. Areas of the city adjacent to the Detroit River are also patrolled by the United States Border Patrol. Economy Several major corporations are based in the city, including three Fortune 500 companies. The most heavily represented sectors are manufacturing (particularly automotive), finance, technology, and health care. The most significant companies based in Detroit include General Motors, Quicken Loans, Ally Financial, Compuware, Shinola, American Axle, Little Caesars, DTE Energy, Lowe Campbell Ewald, Blue Cross Blue Shield of Michigan, and Rossetti Architects. About 80,500 people work in downtown Detroit, comprising one-fifth of the city's employment base. Aside from the numerous Detroit-based companies listed above, downtown contains large offices for Comerica, Chrysler, Fifth Third Bank, HP Enterprise, Deloitte, PricewaterhouseCoopers, KPMG, and Ernst & Young. Ford Motor Company is in the adjacent city of Dearborn. Thousands of more employees work in Midtown, north of the central business district. Midtown's anchors are the city's largest single employer Detroit Medical Center, Wayne State University, and the Henry Ford Health System in New Center. Midtown is also home to watchmaker Shinola and an array of small and startup companies. New Center bases TechTown, a research and business incubator hub that is part of the WSU system. Like downtown, Corktown Is experiencing growth with the new Ford Corktown Campus under development. Midtown also has a fast-growing retailing and restaurant scene. A number of the city's downtown employers are relatively new, as there has been a marked trend of companies moving from satellite suburbs around Metropolitan Detroit into the downtown core. Compuware completed its world headquarters in downtown in 2003. OnStar, Blue Cross Blue Shield, and HP Enterprise Services are at the Renaissance Center. PricewaterhouseCoopers Plaza offices are adjacent to Ford Field, and Ernst & Young completed its office building at One Kennedy Square in 2006. Perhaps most prominently, in 2010, Quicken Loans, one of the largest mortgage lenders, relocated its world headquarters and 4,000 employees to downtown Detroit, consolidating its suburban offices. In July 2012, the U.S. Patent and Trademark Office opened its Elijah J. McCoy Satellite Office in the Rivertown/Warehouse District as its first location outside Washington, D.C.'s metropolitan area. In April 2014, the United States Department of Labor reported the city's unemployment rate at 14.5%. The city of Detroit and other public–private partnerships have attempted to catalyze the region's growth by facilitating the building and historical rehabilitation of residential high-rises in the downtown, creating a zone that offers many business tax incentives, creating recreational spaces such as the Detroit RiverWalk, Campus Martius Park, Dequindre Cut Greenway, and Green Alleys in Midtown. The city itself has cleared sections of land while retaining a number of historically significant vacant buildings in order to spur redevelopment; even though it has struggled with finances, the city issued bonds in 2008 to provide funding for ongoing work to demolish blighted properties. Two years earlier, downtown reported $1.3 billion in restorations and new developments which increased the number of construction jobs in the city. In the decade prior to 2006, downtown gained more than $15 billion in new investment from private and public sectors. Despite the city's recent financial issues, many developers remain unfazed by Detroit's problems. Midtown is one of the most successful areas within Detroit to have a residential occupancy rate of 96%. Numerous developments have been recently completed or are in various stages of construction. These include the $82 million reconstruction of downtown's David Whitney Building (now an Aloft Hotel and luxury residences), the Woodward Garden Block Development in Midtown, the residential conversion of the David Broderick Tower in downtown, the rehabilitation of the Book Cadillac Hotel (now a Westin and luxury condos) and Fort Shelby Hotel (now Doubletree) also in downtown, and various smaller projects. Downtown's population of young professionals is growing and retail is expanding. A study in 2007 found out that Downtown's new residents are predominantly young professionals (57% are ages 25 to 34, 45% have bachelor's degrees, and 34% have a master's or professional degree), a trend which has hastened over the last decade. Since 2006, $9 billion has been invested in downtown and surrounding neighborhoods; $5.2 billion of which has come in 2013 and 2014. Construction activity, particularly rehabilitation of historic downtown buildings, has increased markedly. The number of vacant downtown buildings has dropped from nearly 50 to around 13. On July 25, 2013, Meijer, a midwestern retail chain, opened its first supercenter store in Detroit; this was a $20 million, 190,000-square-foot store in the northern portion of the city and it also is the centerpiece of a new $72 million shopping center named Gateway Marketplace. On June 11, 2015, Meijer opened its second supercenter store in the city. On June 26, 2019, JPMorgan Chase announced plans to invest $50 million more in affordable housing, job training and entrepreneurship by the end of 2022, growing its investment to $200 million. Arts and culture In the central portions of Detroit, the population of young professionals, artists, and other transplants is growing and retail is expanding. This dynamic is luring additional new residents, and former residents returning from other cities, to the city's Downtown along with the revitalized Midtown and New Center areas. A desire to be closer to the urban scene has also attracted some young professionals to reside in inner ring suburbs such as Ferndale and Royal Oak, Michigan. Detroit's proximity to Windsor, Ontario, provides for views and nightlife, along with Ontario's minimum drinking age of 19. A 2011 study by Walk Score recognized Detroit for its above average walkability among large U.S. cities. About two-thirds of suburban residents occasionally dine and attend cultural events or take in professional games in the city of Detroit. Nicknames Known as the world's automotive center, "Detroit" is a metonym for that industry. Detroit's auto industry, some of which was converted to wartime defense production, was an important element of the American "Arsenal of Democracy" supporting the Allied powers during World War II. It is an important source of popular music legacies celebrated by the city's two familiar nicknames, the Motor City and Motown. Other nicknames arose in the 20th century, including City of Champions, beginning in the 1930s for its successes in individual and team sport; The D; Hockeytown (a trademark owned by the city's NHL club, the Red Wings); Rock City (after the Kiss song "Detroit Rock City"); and The 313 (its telephone area code). Music Live music has been a prominent feature of Detroit's nightlife since the late 1940s, bringing the city recognition under the nickname "Motown". The metropolitan area has many nationally prominent live music venues. Concerts hosted by Live Nation perform throughout the Detroit area. Large concerts are held at DTE Energy Music Theatre. The city's theatre venue circuit is the United States' second largest and hosts Broadway performances. The city of Detroit has a rich musical heritage and has contributed to a number of different genres over the decades leading into the new millennium. Important music events in the city include the Detroit International Jazz Festival, the Detroit Electronic Music Festival, the Motor City Music Conference (MC2), the Urban Organic Music Conference, the Concert of Colors, and the hip-hop Summer Jamz festival. In the 1940s, Detroit blues artist John Lee Hooker became a long-term resident in the city's southwest Delray neighborhood. Hooker, among other important blues musicians, migrated from his home in Mississippi, bringing the Delta blues to northern cities like Detroit. Hooker recorded for Fortune Records, the biggest pre-Motown blues/soul label. During the 1950s, the city became a center for jazz, with stars performing in the Black Bottom neighborhood. Prominent emerging jazz musicians of the 1960s included trumpet player Donald Byrd, who attended Cass Tech and performed with Art Blakey and the Jazz Messengers early in his career, and saxophonist Pepper Adams, who enjoyed a solo career and accompanied Byrd on several albums. The Graystone International Jazz Museum documents jazz in Detroit. Other prominent Motor City R&B stars in the 1950s and early 1960s were Nolan Strong, Andre Williams and Nathaniel Mayer – who all scored local and national hits on the Fortune Records label. According to Smokey Robinson, Strong was a primary influence on his voice as a teenager. The Fortune label, a family-operated label on Third Avenue in Detroit, was owned by the husband-and-wife team of Jack Brown and Devora Brown. Fortune, which also released country, gospel and rockabilly LPs and 45s, laid the groundwork for Motown, which became Detroit's most legendary record label. Berry Gordy, Jr. founded Motown Records, which rose to prominence during the 1960s and early 1970s with acts such as Stevie Wonder, The Temptations, The Four Tops, Smokey Robinson & The Miracles, Diana Ross & The Supremes, the Jackson 5, Martha and the Vandellas, The Spinners, Gladys Knight & the Pips, The Marvelettes, The Elgins, The Monitors, The Velvelettes and Marvin Gaye. Artists were backed by in-house vocalists The Andantes and The Funk Brothers, the Motown house band that was featured in Paul Justman's 2002 documentary film Standing in the Shadows of Motown, based on Allan Slutsky's book of the same name. The Motown Sound played an important role in the crossover appeal with popular music, since it was the first African American–owned record label to primarily feature African-American artists. Gordy moved Motown to Los Angeles in 1972 to pursue film production, but the company has since returned to Detroit. Aretha Franklin, another Detroit R&B star, carried the Motown Sound; however, she did not record with Berry's Motown label. Local artists and bands rose to prominence in the 1960s and '70s, including the MC5, Glenn Frey, The Stooges, Bob Seger, Amboy Dukes featuring Ted Nugent, Mitch Ryder and The Detroit Wheels, Rare Earth, Alice Cooper, and Suzi Quatro. The group Kiss emphasized the city's connection with rock in the song "Detroit Rock City" and the movie produced in 1999. In the 1980s, Detroit was an important center of the hardcore punk rock underground with many nationally known bands coming out of the city and its suburbs, such as The Necros, The Meatmen, and Negative Approach. In the 1990s and the new millennium, the city has produced a number of influential hip hop artists, including Eminem, the hip-hop artist with the highest cumulative sales, his rap group D12, hip-hop rapper and producer Royce da 5'9", hip-hop producer Denaun Porter, hip-hop producer J Dilla, rapper and producer Esham and hip hop duo Insane Clown Posse. The city is also home to rappers Big Sean and Danny Brown. The band Sponge toured and produced music, with artists such as Kid Rock and Uncle Kracker. The city also has an active garage rock scene that has generated national attention with acts such as The White Stripes, The Von Bondies, The Detroit Cobras, The Dirtbombs, Electric Six, and The Hard Lessons. Detroit is cited as the birthplace of techno music in the early 1980s. The city also lends its name to an early and pioneering genre of electronic dance music, "Detroit techno". Featuring science fiction imagery and robotic themes, its futuristic style was greatly influenced by the geography of Detroit's urban decline and its industrial past. Prominent Detroit techno artists include Juan Atkins, Derrick May, Kevin Saunderson, and Jeff Mills. The Detroit Electronic Music Festival, now known as Movement, occurs annually in late May on Memorial Day Weekend, and takes place in Hart Plaza. In the early years (2000–2002), this was a landmark event, boasting over a million estimated attendees annually, coming from all over the world to celebrate techno music in the city of its birth. Entertainment and performing arts Major theaters in Detroit include the Fox Theatre (5,174 seats), Music Hall Center for the Performing Arts (1,770 seats), the Gem Theatre (451 seats), Masonic Temple Theatre (4,404 seats), the Detroit Opera House (2,765 seats), the Fisher Theatre (2,089 seats), The Fillmore Detroit (2,200 seats), Saint Andrew's Hall, the Majestic Theater, and Orchestra Hall (2,286 seats), which hosts the renowned Detroit Symphony Orchestra. The Nederlander Organization, the largest controller of Broadway productions in New York City, originated with the purchase of the Detroit Opera House in 1922 by the Nederlander family. Motown Motion Picture Studios with produces movies in Detroit and the surrounding area based at the Pontiac Centerpoint Business Campus for a film industry expected to employ over 4,000 people in the metro area. Tourism Because of its unique culture, distinctive architecture, and revitalization and urban renewal efforts in the 21st century, Detroit has enjoyed increased prominence as a tourist destination in recent years. The New York Times listed Detroit as the 9th-best destination in its list of 52 Places to Go in 2017, while travel guide publisher Lonely Planet named Detroit the second-best city in the world to visit in 2018. Many of the area's prominent museums are in the historic cultural center neighborhood around Wayne State University and the College for Creative Studies. These museums include the Detroit Institute of Arts, the Detroit Historical Museum, Charles H. Wright Museum of African American History, the Detroit Science Center, as well as the main branch of the Detroit Public Library. Other cultural highlights include Motown Historical Museum, the Ford Piquette Avenue Plant museum, the Pewabic Pottery studio and school, the Tuskegee Airmen Museum, Fort Wayne, the Dossin Great Lakes Museum, the Museum of Contemporary Art Detroit (MOCAD), the Contemporary Art Institute of Detroit (CAID), and the Belle Isle Conservatory. In 2010, the G.R. N'Namdi Gallery opened in a complex in Midtown. Important history of America and the Detroit area are exhibited at The Henry Ford in Dearborn, the United States' largest indoor-outdoor museum complex. The Detroit Historical Society provides information about tours of area churches, skyscrapers, and mansions. Inside Detroit, meanwhile, hosts tours, educational programming, and a downtown welcome center. Other sites of interest are the Detroit Zoo in Royal Oak, the Cranbrook Art Museum in Bloomfield Hills, the Anna Scripps Whitcomb Conservatory on Belle Isle, and Walter P. Chrysler Museum in Auburn Hills. The city's Greektown and three downtown casino resort hotels serve as part of an entertainment hub. The Eastern Market farmer's distribution center is the largest open-air flowerbed market in the United States and has more than 150 foods and specialty businesses. On Saturdays, about 45,000 people shop the city's historic Eastern Market. The Midtown and the New Center area are centered on Wayne State University and Henry Ford Hospital. Midtown has about 50,000 residents and attracts millions of visitors each year to its museums and cultural centers; for example, the Detroit Festival of the Arts in Midtown draws about 350,000 people. Annual summer events include the Electronic Music Festival, International Jazz Festival, the Woodward Dream Cruise, the African World Festival, the country music Hoedown, Noel Night, and Dally in the Alley. Within downtown, Campus Martius Park hosts large events, including the annual Motown Winter Blast. As the world's traditional automotive center, the city hosts the North American International Auto Show. Held since 1924, America's Thanksgiving Parade is one of the nation's largest. River Days, a five-day summer festival on the International Riverfront lead up to the Windsor–Detroit International Freedom Festival fireworks, which draw super sized-crowds ranging from hundreds of thousands to over three million people. An important civic sculpture in Detroit is The Spirit of Detroit by Marshall Fredericks at the Coleman Young Municipal Center. The image is often used as a symbol of Detroit and the statue itself is occasionally dressed in sports jerseys to celebrate when a Detroit team is doing well. A memorial to Joe Louis at the intersection of Jefferson and Woodward Avenues was dedicated on October 1, 1986. The sculpture, commissioned by Sports Illustrated and executed by Robert Graham, is a long arm with a fisted hand suspended by a pyramidal framework. Artist Tyree Guyton created the controversial street art exhibit known as the Heidelberg Project in 1986, using found objects including cars, clothing and shoes found in the neighborhood near and on Heidelberg Street on the near East Side of Detroit. Sports Detroit is one of 13 U.S. metropolitan areas that are home to professional teams representing the four major sports in North America. Since 2017, all of these teams play in the city limits of Detroit itself, a distinction shared with only three other U.S. cities. Detroit is the only U.S. city to have its four major sports teams play within its downtown district. There are three active major sports venues in the city: Comerica Park (home of the Major League Baseball team Detroit Tigers), Ford Field (home of the NFL's Detroit Lions), and Little Caesars Arena (home of the NHL's Detroit Red Wings and the NBA's Detroit Pistons). A 1996 marketing campaign promoted the nickname "Hockeytown". The Detroit Tigers have won four World Series titles (1935, 1945, 1968, and 1984). The Detroit Red Wings have won 11 Stanley Cups (1935–36, 1936–37, 1942–43, 1949–50, 1951–52, 1953–54, 1954–55, 1996–97, 1997–98, 2001–02, 2007–08) (the most by an American NHL franchise). The Detroit Lions have won 4 NFL titles (1935, 1952, 1953, 1957) . The Detroit Pistons have won three NBA titles (1989, 1990, 2004). With the Pistons' first of three NBA titles in 1989, the city of Detroit has won titles in all four of the major professional sports leagues. Two new downtown stadiums for the Detroit Tigers and Detroit Lions opened in 2000 and 2002, respectively, returning the Lions to the city proper. In college sports, Detroit's central location within the Mid-American Conference has made it a frequent site for the league's championship events. While the MAC Basketball Tournament moved permanently to Cleveland starting in 2000, the MAC Football Championship Game has been played at Ford Field in Detroit since 2004, and annually attracts 25,000 to 30,000 fans. The University of Detroit Mercy has an NCAA Division I program, and Wayne State University has both NCAA Division I and II programs. The NCAA football Quick Lane Bowl is held at Ford Field each December. Detroit's professional soccer team is Detroit City FC. Founded in 2012 as a semi-professional soccer club, the team now plays professional soccer in the USL Championship (USLC). Nicknamed, Le Rouge, the club are two-time champions of NISA since joining in 2020. They play their home matches in Keyworth Stadium, which is located in the Detroit enclave of Hamtramck. The city hosted the 2005 MLB All-Star Game, 2006 Super Bowl XL, both the 2006 and 2012 World Series, WrestleMania 23 in 2007, and the NCAA Final Four in April 2009. The city hosted the Detroit Indy Grand Prix on Belle Isle Park from 1989 to 2001, 2007 to 2008, and 2012 and beyond. In 2007, open-wheel racing returned to Belle Isle with both Indy Racing League and American Le Mans Series Racing. From 1982 to 1988, Detroit held the Detroit Grand Prix, at the Detroit street circuit. Detroit is one of eight American cities to have won titles in all four major leagues (MLB, NFL, NHL and NBA), though of the eight it is the only one to have not won a Super Bowl title (all of the Lions' titles came prior to the start of the Super Bowl era). In the years following the mid-1930s, Detroit was referred to as the "City of Champions" after the Tigers, Lions, and Red Wings captured the three major professional sports championships in existence at the time in a seven-month period of time (the Tigers won the World Series in October 1935; the Lions won the NFL championship in December 1935; the Red Wings won the Stanley Cup in April 1936). In 1932, Eddie "The Midnight Express" Tolan from Detroit won the 100- and 200-meter races and two gold medals at the 1932 Summer Olympics. Joe Louis won the heavyweight championship of the world in 1937. Detroit has made the most bids to host the Summer Olympics without ever being awarded the games, with seven unsuccessful bids for the 1944, 1952, 1956, 1960, 1964, 1968, and 1972 summer games. Government The city is governed pursuant to the home rule Charter of the City of Detroit. The government of Detroit is run by a mayor, the nine-member Detroit City Council, the eleven-member Board of Police Commissioners, and a clerk. All of these officers are elected on a nonpartisan ballot, with the exception of four of the police commissioners, who are appointed by the mayor. Detroit has a "strong mayoral" system, with the mayor approving departmental appointments. The council approves budgets, but the mayor is not obligated to adhere to any earmarking. The city clerk supervises elections and is formally charged with the maintenance of municipal records. City ordinances and substantially large contracts must be approved by the council. The Detroit City Code is the codification of Detroit's local ordinances. The city clerk supervises elections and is formally charged with the maintenance of municipal records. Municipal elections for mayor, city council and city clerk are held at four-year intervals, in the year after presidential elections. Following a November 2009 referendum, seven council members will be elected from districts beginning in 2013 while two will continue to be elected at-large. Detroit's courts are state-administered and elections are nonpartisan. The Probate Court for Wayne County is in the Coleman A. Young Municipal Center in downtown Detroit. The Circuit Court is across Gratiot Avenue in the Frank Murphy Hall of Justice, in downtown Detroit. The city is home to the Thirty-Sixth District Court, as well as the First District of the Michigan Court of Appeals and the United States District Court for the Eastern District of Michigan. The city provides law enforcement through the Detroit Police Department and emergency services through the Detroit Fire Department. Politics Beginning with its incorporation in 1802, Detroit has had a total of 74 mayors. Detroit's last mayor from the Republican Party was Louis Miriani, who served from 1957 to 1962. In 1973, the city elected its first black mayor, Coleman Young. Despite development efforts, his combative style during his five terms in office was not well received by many suburban residents. Mayor Dennis Archer, a former Michigan Supreme Court Justice, refocused the city's attention on redevelopment with a plan to permit three casinos downtown. By 2008, three major casino resort hotels established operations in the city. In 2000, the city requested an investigation by the United States Justice Department into the Detroit Police Department which was concluded in 2003 over allegations regarding its use of force and civil rights violations. The city proceeded with a major reorganization of the Detroit Police Department. In 2013, felony bribery charges were brought against seven building inspectors. In 2016, further corruption charges were brought against 12 principals, a former school superintendent and supply vendor for a $12 million kickback scheme. However, law professor Peter Henning argues Detroit's corruption is not unusual for a city its size, especially when compared with Chicago. Detroit is sometimes referred to as a sanctuary city because it has "anti-profiling ordinances that generally prohibit local police from asking about the immigration status of people who are not suspected of any crime". Public finances Detroit's protracted decline has resulted in severe urban decay, with thousands of empty buildings around the city, referred to as greyfield. Some parts of Detroit are so sparsely populated the city has difficulty providing municipal services. The city has demolished abandoned homes and buildings, planting grass and trees, and considered removing street lighting from large portions of the city, in order to encourage the small population in certain areas to move to more populated areas. Roughly half of the owners of Detroit's 305,000 properties failed to pay their 2011 tax bills, resulting in about $246 million in taxes and fees going uncollected, nearly half of which was due to Detroit. The rest of the money would have been earmarked for Wayne County, Detroit Public Schools, and the library system. In March 2013, Governor Rick Snyder declared a financial emergency in the city, stating the city had a $327 million budget deficit and faced more than $14 billion in long-term debt. It has been making ends meet on a month-to-month basis with the help of bond money held in a state escrow account and has instituted mandatory unpaid days off for many city workers. Those troubles, along with underfunded city services, such as police and fire departments, and ineffective turnaround plans from Mayor Bing and the City Council led the state of Michigan to appoint an emergency manager for Detroit on March 14, 2013. On June 14, 2013, Detroit defaulted on $2.5 billion of debt by withholding $39.7 million in interest payments, while Emergency Manager Kevyn Orr met with bondholders and other creditors in an attempt to restructure the city's $18.5 billion debt and avoid bankruptcy. On July 18, 2013, the City of Detroit filed for Chapter 9 bankruptcy protection. It was declared bankrupt by U.S. judge Stephen Rhodes on December 3, with its $18.5 billion debt; he said in accepting the city's contention it is broke and negotiations with its thousands of creditors were infeasible. The city levies an income tax of 2.4 percent on residents and 1.2 percent on nonresidents. Education Colleges and universities Detroit is home to several institutions of higher learning including Wayne State University, a national research university with medical and law schools in the Midtown area offering hundreds of academic degrees and programs. The University of Detroit Mercy, in Northwest Detroit in the University District, is a prominent Roman Catholic co-educational university affiliated with the Society of Jesus (the Jesuits) and the Sisters of Mercy. The University of Detroit Mercy offers more than a hundred academic degrees and programs of study including business, dentistry, law, engineering, architecture, nursing and allied health professions. The University of Detroit Mercy School of Law is Downtown across from the Renaissance Center. Grand Valley State University's Detroit Center host workshops, seminars, professional development, and other large gatherings in the building. Located in the heart of downtown next to Comerica Park and the Detroit Athletic Club, the center has become a key component for educational activity in the city. Sacred Heart Major Seminary, founded in 1919, is affiliated with Pontifical University of Saint Thomas Aquinas, Angelicum in Rome and offers pontifical degrees as well as civil undergraduate and graduate degrees. Sacred Heart Major Seminary offers a variety of academic programs for both clerical and lay students. Other institutions in the city include the College for Creative Studies and Wayne County Community College. Marygrove College was a Catholic institution formerly based in Detroit before it closed in 2019. In June 2009, the Michigan State University College of Osteopathic Medicine which is based in East Lansing opened a satellite campus at the Detroit Medical Center. The University of Michigan was established in 1817 in Detroit and later moved to Ann Arbor in 1837. Primary and secondary schools many K-12 students in Detroit frequently change schools, with some children having been enrolled in seven schools before finishing their K-12 careers. There is a concentration of senior high schools and charter schools in the Downtown Detroit area, which had wealthier residents and more gentrification relative to other parts of Detroit: Downtown, northwest Detroit, and northeast Detroit have 1,894, 3,742, and 6,018 students of high school age each, respectively, while they have 11, three, and two high schools each, respectively. because of the lack of public transportation and the lack of school bus services, many Detroit families have to rely on themselves to transport children to school. Public schools and charter schools With about 66,000 public school students (2011–12), the Detroit Public Schools (DPS) district is the largest school district in Michigan. Detroit has an additional 56,000 charter school students for a combined enrollment of about 122,000 students. there are about as many students in charter schools as there are in district schools. DPS continues to have the majority of the special education pupils. In addition, some Detroit students, as of 2016, attend public schools in other municipalities. In 1999, the Michigan Legislature removed the locally elected board of education amid allegations of mismanagement and replaced it with a reform board appointed by the mayor and governor. The elected board of education was re-established following a city referendum in 2005. The first election of the new 11-member board of education occurred on November 8, 2005. Due to growing Detroit charter schools enrollment as well as a continued exodus of population, the city planned to close many public schools. State officials report a 68% graduation rate for Detroit's public schools adjusted for those who change schools. Traditional public and charter school students in the city have performed poorly on standardized tests. Circa 2009 and 2011, while Detroit traditional public schools scored a record low on national tests, the publicly funded charter schools did even worse than the traditional public schools. there were 30,000 excess openings in Detroit traditional public and charter schools, bearing in mind the number of K-12-aged children in the city. In 2016, Kate Zernike of The New York Times stated school performance did not improve despite the proliferation of charters, describing the situation as "lots of choice, with no good choice". Detroit public schools students scored the lowest on tests of reading and writing of all major cities in the United States in 2015. Among eighth-graders, only 27% showed basic proficiency in math and 44% in reading. Nearly half of Detroit's adults are functionally illiterate. Private schools Detroit is served by various private schools, as well as parochial Roman Catholic schools operated by the Archdiocese of Detroit. there are four Catholic grade schools and three Catholic high schools in the City of Detroit, with all of them in the city's west side. The Archdiocese of Detroit lists a number of primary and secondary schools in the metro area as Catholic education has emigrated to the suburbs. Of the three Catholic high schools in the city, two are operated by the Society of Jesus and the third is co-sponsored by the Sisters, Servants of the Immaculate Heart of Mary and the Congregation of St. Basil. In the 1964–1965 school year there were about 110 Catholic grade schools in Detroit, Hamtramck, and Highland Park and 55 Catholic high schools in those three cities. The Catholic school population in Detroit has decreased due to the increase of charter schools, increasing tuition at Catholic schools, the small number of African-American Catholics, White Catholics moving to suburbs, and the decreased number of teaching nuns. Media The Detroit Free Press and The Detroit News are the major daily newspapers, both broadsheet publications published together under a joint operating agreement called the Detroit Newspaper Partnership. Media philanthropy includes the Detroit Free Press high school journalism program and the Old Newsboys' Goodfellow Fund of Detroit. In March 2009, the two newspapers reduced home delivery to three days a week, print reduced newsstand issues of the papers on non-delivery days and focus resources on Internet-based news delivery. The Metro Times, founded in 1980, is a weekly publication, covering news, arts & entertainment. Also founded in 1935 and based in Detroit, the Michigan Chronicle is one of the oldest and most respected African-American weekly newspapers in America, covering politics, entertainment, sports and community events. The Detroit television market is the 11th largest in the United States; according to estimates that do not include audiences in large areas of Ontario, Canada (Windsor and its surrounding area on broadcast and cable TV, as well as several other cable markets in Ontario, such as the city of Ottawa) which receive and watch Detroit television stations. Detroit has the 11th largest radio market in the United States, though this ranking does not take into account Canadian audiences. Nearby Canadian stations such as Windsor's CKLW (whose jingles formerly proclaimed "CKLW-the Motor City") are popular in Detroit. Infrastructure Health systems Within the city of Detroit, there are over a dozen major hospitals, which include the Detroit Medical Center (DMC), Henry Ford Health System, St. John Health System, and the John D. Dingell VA Medical Center. The DMC, a regional Level I trauma center, consists of Detroit Receiving Hospital and University Health Center, Children's Hospital of Michigan, Harper University Hospital, Hutzel Women's Hospital, Kresge Eye Institute, Rehabilitation Institute of Michigan, Sinai-Grace Hospital, and the Karmanos Cancer Institute. The DMC has more than 2,000 licensed beds and 3,000 affiliated physicians. It is the largest private employer in the City of Detroit. The center is staffed by physicians from the Wayne State University School of Medicine, the largest single-campus medical school in the United States, and the United States' fourth largest medical school overall. Detroit Medical Center formally became a part of Vanguard Health Systems on December 30, 2010, as a for-profit corporation. Vanguard has agreed to invest nearly $1.5 B in the Detroit Medical Center complex, which will include $417 M to retire debts, at least $350 M in capital expenditures and an additional $500 M for new capital investment. Vanguard has agreed to assume all debts and pension obligations. The metro area has many other hospitals including William Beaumont Hospital, St. Joseph's, and University of Michigan Medical Center. In 2011, Detroit Medical Center and Henry Ford Health System substantially increased investments in medical research facilities and hospitals in the city's Midtown and New Center. In 2012, two major construction projects were begun in New Center. The Henry Ford Health System started the first phase of a $500 million, 300-acre revitalization project, with the construction of a new $30 million, 275,000-square-foot, Medical Distribution Center for Cardinal Health, Inc. and Wayne State University started construction on a new $93 million, 207,000-square-foot, Integrative Biosciences Center (IBio). As many as 500 researchers and staff will work out of the IBio Center. Transportation With its proximity to Canada and its facilities, ports, major highways, rail connections and international airports, Detroit is an important transportation hub. The city has three international border crossings, the Ambassador Bridge, Detroit–Windsor Tunnel and Michigan Central Railway Tunnel, linking Detroit to Windsor, Ontario. The Ambassador Bridge is the single busiest border crossing in North America, carrying 27% of the total trade between the U.S. and Canada. On February 18, 2015, Canadian Transport Minister Lisa Raitt announced Canada has agreed to pay the entire cost to build a $250 million U.S. Customs plaza adjacent to the planned new Detroit–Windsor bridge, now the Gordie Howe International Bridge. Canada had already planned to pay for 95% of the bridge, which will cost $2.1 billion, and is expected to open in 2024. "This allows Canada and Michigan to move the project forward immediately to its next steps which include further design work and property acquisition on the U.S. side of the border", Raitt said in a statement issued after she spoke in the House of Commons. Transit systems Mass transit in the region is provided by bus services. The Detroit Department of Transportation (DDOT) provides service within city limits up to the outer edges of the city. From there, the Suburban Mobility Authority for Regional Transportation (SMART) provides service to the suburbs and the city regionally with local routes and SMART's FAST service. FAST is a new service provided by SMART which offers limited stops along major corridors throughout the Detroit metropolitan area connecting the suburbs to downtown. The new high-frequency service travels along three of Detroit's busiest corridors, Gratiot, Woodward, and Michigan, and only stops at designated FAST stops. Cross border service between the downtown areas of Windsor and Detroit is provided by Transit Windsor via the Tunnel Bus. An elevated rail system known as the People Mover, completed in 1987, provides daily service around a loop downtown. The QLINE serves as a link between the Detroit People Mover and Detroit Amtrak station via Woodward Avenue. The SEMCOG Commuter Rail line will extend from Detroit's New Center, connecting to Ann Arbor via Dearborn, Wayne, and Ypsilanti when it is opened. The Regional Transit Authority (RTA) was established by an act of the Michigan legislature in December 2012 to oversee and coordinate all existing regional mass transit operations, and to develop new transit services in the region. The RTA's first project was the introduction of RelfeX, a limited-stop, cross-county bus service connecting downtown and midtown Detroit with Oakland county via Woodward avenue. Amtrak provides service to Detroit, operating its Wolverine service between Chicago and Pontiac. The Amtrak station is in New Center north of downtown. The J. W. Westcott II, which delivers mail to lake freighters on the Detroit River, is a floating post office. Car ownership The city of Detroit has a higher than average percentage of households without a car. In 2016, 24.7 percent of Detroit households lacked a car, much higher than the national average of 8.7. Detroit averaged 1.15 cars per household in 2016, compared to a national average of 1.8. Freight railroads Freight railroad operations in the city of Detroit are provided by Canadian National Railway, Canadian Pacific Railway, Conrail Shared Assets, CSX Transportation and Norfolk Southern Railway, each of which have local yards within the city. Detroit is also served by the Delray Connecting Railroad and Detroit Connecting Railroad shortlines. Airports Detroit Metropolitan Wayne County Airport (DTW), the principal airport serving Detroit, is in nearby Romulus. DTW is a primary hub for Delta Air Lines (following its acquisition of Northwest Airlines), and a secondary hub for Spirit Airlines. The airport is connected to Downtown Detroit by the Suburban Mobility Authority for Regional Transportation (SMART) FAST Michigan route. Coleman A. Young International Airport (DET), previously called Detroit City Airport, is on Detroit's northeast side; the airport now maintains only charter service and general aviation. Willow Run Airport, in far-western Wayne County near Ypsilanti, is a general aviation and cargo airport. Freeways Metro Detroit has an extensive toll-free network of freeways administered by the Michigan Department of Transportation. Four major Interstate Highways surround the city. Detroit is connected via Interstate 75 (I-75) and I-96 to Kings Highway 401 and to major Southern Ontario cities such as London, Ontario and the Greater Toronto Area. I-75 (Chrysler and Fisher freeways) is the region's main north–south route, serving Flint, Pontiac, Troy, and Detroit, before continuing south (as the Detroit–Toledo and Seaway Freeways) to serve many of the communities along the shore of Lake Erie. I-94 (Edsel Ford Freeway) runs east–west through Detroit and serves Ann Arbor to the west (where it continues to Chicago) and Port Huron to the northeast. The stretch of the I-94 freeway from Ypsilanti to Detroit was one of America's earlier limited-access highways. Henry Ford built it to link the factories at Willow Run and Dearborn during World War II. A portion was known as the Willow Run Expressway. The I-96 freeway runs northwest–southeast through Livingston, Oakland and Wayne counties and (as the Jeffries Freeway through Wayne County) has its eastern terminus in downtown Detroit. I-275 runs north–south from I-75 in the south to the junction of I-96 and I-696 in the north, providing a bypass through the western suburbs of Detroit. I-375 is a short spur route in downtown Detroit, an extension of the Chrysler Freeway. I-696 (Reuther Freeway) runs east–west from the junction of I-96 and I-275, providing a route through the northern suburbs of Detroit. Taken together, I-275 and I-696 form a semicircle around Detroit. Michigan state highways designated with the letter M serve to connect major freeways. Floating post office Detroit has a floating post office, the J. W. Westcott II, which serves lake freighters along the Detroit River. Its ZIP Code is 48222. The ZIP Code is used exclusively for the J. W. Westcott II, which makes is the only floating ZIP Code in the United States. It has a land-based office at 12 24th Street, just south of the Ambassador Bridge. The J.W. Westcott Company was established in 1874 by Captain John Ward Westcott as a maritime reporting agency to inform other vessels about port conditions, and the J. W. Westcott II vessel began service in 1949 and is still in operation today. Notable people Sister cities Detroit's sister cities are: Chongqing, China Dubai, United Arab Emirates Kitwe, Zambia Minsk, Belarus Nassau, Bahamas Toyota, Japan Turin, Italy Notes References Further reading Barrow, Heather B. Henry Ford's Plan for the American Suburb: Dearborn and Detroit. DeKalb, IL: Northern Illinois University Press, 2015. Bates, Beth Tompkins. The Making of Black Detroit in the Age of Henry Ford. Chapel Hill, NC: University of North Carolina Press, 2012. Farmer, Silas. (1884) (July 1969) The history of Detroit and Michigan, or, The metropolis illustrated: a chronological cyclopaedia of the past and present: including a full record of territorial days in Michigan, and the annuals of Wayne County, in various formats at Open Library. Galster, George. (2012). Driving Detroit: The Quest for Respect in the Motor City University of Pennsylvania Press Philp, Drew (2017). A $500 house in Detroit: rebuilding an abandoned home and an American city. Scribner. Powell, L. P (1901). "Detroit, the Queen City", Historic Towns of the Western States (New York). Primary sources Moon, Elaine Latzman. Untold tales, unsung heroes: an oral history of Detroit's African American community, 1918-1967 (1994) online External links Municipal government and local Chamber of Commerce Official website Detroit Metro Convention & Visitors Bureau Detroit Regional Chamber Historical research and current events Labor, Urban Affairs and Detroit History archival collections at the Walter P. Reuther Library Virtual Motor City Collection at Wayne State University Library, contains over 30,000 images of Detroit from 1890 to 1980 "In Energized Detroit, Savoring an Architectural Legacy". The New York Times. March 26, 2018. Cities in Wayne County, Michigan County seats in Michigan Detroit River Michigan populated places on the Detroit River Michigan Government units that have filed for Chapter 9 bankruptcy Inland port cities and towns of the United States Metro Detroit Michigan Neighborhood Enterprise Zone Populated places established in 1701 Populated places on the Underground Railroad 1701 establishments in New France
8714
https://en.wikipedia.org/wiki/December%2010
December 10
Events Pre-1600 1317 – The "Nyköping Banquet": King Birger of Sweden treacherously seizes his two brothers Valdemar, Duke of Finland and Eric, Duke of Södermanland, who were subsequently starved to death in the dungeon of Nyköping Castle. 1508 – The League of Cambrai is formed by Pope Julius II, Louis XII of France, Maximilian I, Holy Roman Emperor and Ferdinand II of Aragon as an alliance against Venice. 1520 – Martin Luther burns his copy of the papal bull Exsurge Domine outside Wittenberg's Elster Gate. 1541 – Thomas Culpeper and Francis Dereham are executed for having affairs with Catherine Howard, Queen of England and wife of Henry VIII. 1601–1900 1652 – Defeat at the Battle of Dungeness causes the Commonwealth of England to reform its navy. 1665 – The Royal Netherlands Marine Corps is founded by Michiel de Ruyter. 1684 – Isaac Newton's derivation of Kepler's laws from his theory of gravity, contained in the paper De motu corporum in gyrum, is read to the Royal Society by Edmond Halley. 1768 – The first edition of the Encyclopædia Britannica is published. 1799 – France adopts the metre as its official unit of length. 1817 – Mississippi becomes the 20th U.S. state. 1861 – American Civil War: The Confederate States of America accept a rival state government's pronouncement that declares Kentucky to be the 13th state of the Confederacy. 1861 – Forces led by Nguyễn Trung Trực, an anti-colonial guerrilla leader in southern Vietnam, sink the French lorcha L'Esperance. 1864 – American Civil War: Sherman's March to the Sea: Major General William Tecumseh Sherman's Union Army troops reach the outer Confederate defenses of Savannah, Georgia. 1877 – Russo-Turkish War: The Russian Army captures Plevna after a 5-month siege. The garrison of 25,000 surviving Turks surrenders. The Russian victory is decisive for the outcome of the war and the Liberation of Bulgaria. 1896 – Alfred Jarry's Ubu Roi premieres in Paris. A riot breaks out at the end of the performance. 1898 – Spanish–American War: The Treaty of Paris is signed, officially ending the conflict. Spain cedes administration of Cuba to the United States, and the United States agrees to pay Spain $20 million for the Philippines. 1901–present 1901 – The first Nobel Prize ceremony is held in Stockholm on the fifth anniversary of Alfred Nobel's death. 1902 – The opening of the reservoir of the Aswan Dam in Egypt. 1906 – U.S. President Theodore Roosevelt is awarded the Nobel Peace Prize for his role in the mediation of the Russo-Japanese War, becoming the first American to win a Nobel Prize in any field. 1907 – The worst night of the Brown Dog riots in London, when 1,000 medical students, protesting against the existence of a memorial for animals that have been vivisected, clash with 400 police officers. 1909 – Selma Lagerlöf becomes the first female writer to receive the Nobel Prize in Literature. 1932 – Thailand becomes a constitutional monarchy. 1936 – Abdication Crisis: Edward VIII signs the Instrument of Abdication. 1941 – World War II: The Royal Navy capital ships and are sunk by Imperial Japanese Navy torpedo bombers near British Malaya. 1941 – World War II: Battle of the Philippines: Imperial Japanese forces under the command of General Masaharu Homma land on Luzon. 1942 – World War II: Government of Poland in exile send Raczyński's Note (the first official report on the Holocaust) to 26 governments who signed the Declaration by United Nations. 1948 – The Human Rights Convention is signed by the United Nations. 1949 – Chinese Civil War: The People's Liberation Army begins its siege of Chengdu, the last Kuomintang-held city in mainland China, forcing President of the Republic of China Chiang Kai-shek and his government to retreat to Taiwan. 1953 – British Prime Minister Winston Churchill receives the Nobel Prize in Literature. 1963 – Zanzibar gains independence from the United Kingdom as a constitutional monarchy, under Sultan Jamshid bin Abdullah. 1963 – An assassination attempt on the British High Commissioner in Aden kills two people and wounds dozens more. 1968 – Japan's biggest heist, the still-unsolved "300 million yen robbery", is carried out in Tokyo. 1978 – Arab–Israeli conflict: Prime Minister of Israel Menachem Begin and President of Egypt Anwar Sadat are jointly awarded the Nobel Peace Prize. 1979 – Kaohsiung Incident: Taiwanese pro-democracy demonstrations are suppressed by the KMT dictatorship, and organizers are arrested. 1983 – Democracy is restored in Argentina with the inauguration of President Raúl Alfonsín. 1984 – United Nations General Assembly recognizes the Convention against Torture. 1989 – Mongolian Revolution: At the country's first open pro-democracy public demonstration, Tsakhiagiin Elbegdorj announces the establishment of the Mongolian Democratic Union. 1993 – The last shift leaves Wearmouth Colliery in Sunderland. The closure of the 156-year-old pit marks the end of the old County Durham coalfield, which had been in operation since the Middle Ages. 1994 – Rwandan genocide: Maurice Baril, military advisor to the U.N. Secretary-General and head of the Military Division of the Department of Peacekeeping Operations, recommends that UNAMIR stand down. 1995 – The Israeli army withdraws from Nablus pursuant to the terms of Oslo Accord. 1996 – The new Constitution of South Africa is promulgated by Nelson Mandela. 1999 – Helen Clark is sworn in as Prime Minister of New Zealand, the second woman to hold the post and the first following an election. 2005 – Sosoliso Airlines Flight 1145 crashes at Port Harcourt International Airport in Nigeria, killing 108 people. 2014 – Palestinian minister Ziad Abu Ein is killed after the suppression of a demonstration by Israeli forces in the village (Turmus'ayya) in Ramallah. 2015 – Rojava conflict: The Syrian Democratic Council is established in Dêrik, forming the political wing of the Syrian Democratic Forces in northeast Syria. 2016 – Two explosions outside a football stadium in Istanbul, Turkey, kill 38 people and injure 166 others. 2017 – ISIL is defeated in Iraq. 2019 – The Ostrava hospital attack in the Czech Republic results in eight deaths, including the perpetrator. Births Pre-1600 553 – Houzhu, emperor of the Chen dynasty (d. 604) 1376 – Edmund Mortimer, English nobleman and rebel (d. 1409) 1452 – Johannes Stöffler, German mathematician and astronomer (d. 1531) 1472 – Anne de Mowbray, 8th Countess of Norfolk (d. 1481) 1489 – Gaston of Foix, Duke of Nemours (d. 1512) 1588 – Isaac Beeckman, Dutch scientist and philosopher (d. 1637) 1601–1900 1610 – Adriaen van Ostade, Dutch painter (d. 1685) 1654 – Giovanni Gioseffo dal Sole, Italian painter (d. 1719) 1658 – Lancelot Blackburne, Archbishop of York (d. 1743) 1713 – Johann Nicolaus Mempel, German cantor and organist (d. 1747) 1751 – George Shaw, English botanist and zoologist (d. 1813) 1776 – Archduchess Maria Leopoldine of Austria-Este (d. 1848) 1783 – María Bibiana Benítez, Puerto Rican poet and playwright (d. 1873) 1787 – Thomas Hopkins Gallaudet, American educator, founded the American School for the Deaf (d. 1851) 1804 – Carl Gustav Jacob Jacobi, German mathematician and academic (d. 1851) 1805 – William Lloyd Garrison, American journalist and activist, founded The Liberator (d. 1879) 1805 – Joseph Škoda, Czech physician, dermatologist, and academic (d. 1881) 1811 – Caroline Mehitable Fisher Sawyer, American poet, biographer, and editor (d. 1894) 1815 – Ada Lovelace, English mathematician and computer scientist (d. 1852) 1821 – Nikolay Nekrasov, Russian poet and critic (d. 1877) 1822 – César Franck, Belgian organist and composer (d. 1890) 1824 – George MacDonald, Scottish minister, author, and poet (d. 1905) 1827 – Eugene O'Keefe, Canadian businessman and philanthropist (d. 1913) 1830 – Emily Dickinson, American poet (d. 1886) 1851 – Melvil Dewey, American librarian, created the Dewey Decimal System (d. 1931) 1866 – Louis Bolk, Dutch anatomist and biologist (d. 1930) 1870 – Jadunath Sarkar, Indian historian (d. 1958) 1870 – Adolf Loos, Austrian architect and theoretician (d. 1933) 1870 – Pierre Louÿs, Belgian-French author and poet (d. 1925) 1878 – C. Rajagopalachari, Indian lawyer and politician, 45th Governor-General of India (d. 1972) 1882 – Otto Neurath, Austrian sociologist and philosopher (d. 1945) 1882 – Shigenori Tōgō, Japanese politician, 37th Japanese Minister for Foreign Affairs (d. 1950) 1883 – Giovanni Messe, Italian field marshal and politician (d. 1968) 1885 – Elizabeth Baker, American economist and academic (d. 1973) 1885 – Marios Varvoglis, Greek composer and conductor (d. 1967) 1886 – Victor McLaglen, English-American actor (d. 1959) 1889 – Ray Collins, American actor (d. 1965) 1890 – László Bárdossy, Hungarian fascist politician and diplomat, 33rd Prime Minister of Hungary (d. 1946) 1891 – Harold Alexander, 1st Earl Alexander of Tunis, English field marshal and politician, 17th Governor General of Canada (d. 1969) 1891 – Arlie Mucks, American discus thrower and shot putter (d. 1967) 1891 – Nelly Sachs, German-Swedish poet and playwright, Nobel Prize laureate (d. 1970) 1896 – Torsten Bergström, Swedish actor and director (d. 1948) 1901–present 1903 – Una Merkel, American actress (d. 1986) 1904 – Antonín Novotný, Czechoslovak politician, President of Czechoslovak Socialist Republic, General Secretary of the Communist Party of Czechoslovakia (d. 1975) 1906 – Jules Ladoumègue, French runner (d. 1973) 1906 – Harold Adamson, American lyricist (d. 1980) 1907 – Rumer Godden, English author and poet (d. 1998) 1907 – Lucien Laurent, French footballer and coach (d. 2005) 1907 – Amedeo Nazzari, Italian actor (d. 1979) 1908 – Olivier Messiaen, French composer and ornithologist (d. 1992) 1909 – Hermes Pan, American dancer and choreographer (d. 1990) 1910 – Ambrosio Padilla, Filipino basketball player and politician (d. 1996) 1911 – Chet Huntley, American journalist (d. 1974) 1912 – Philip Hart, American lawyer and politician, 49th Lieutenant Governor of Michigan (d. 1976) 1912 – René Toribio, Guadeloupean politician (d. 1990) 1913 – Pannonica de Koenigswarter, English-American jazz patron and writer (d. 1988) 1913 – Morton Gould, American pianist, composer, and conductor (d. 1996) 1913 – Harry Locke, English actor (d. 1987) 1913 – Ray Nance, American trumpeter, violinist, and singer (d. 1976) 1914 – Dorothy Lamour, American actress and singer (d. 1996) 1915 – Nicky Barr, Australian rugby player, soldier, and pilot (d. 2006) 1916 – Walt Arfons, American race car driver (d. 2013) 1918 – Anne Gwynne, American actress (d. 2003) 1918 – Anatoli Tarasov, Russian ice hockey player and coach (d. 1995) 1919 – Alexander Courage, American composer and conductor (d. 2008) 1920 – Clarice Lispector, Ukrainian-Brazilian journalist and author (d. 1977) 1920 – Reginald Rose, American screenwriter and producer (d. 2002) 1920 – Thanassis Skordalos, Greek lyra player and composer (d. 1998) 1921 – Toh Chin Chye, Singaporean academic and politician, 1st Deputy Prime Minister of Singapore (d. 2012) 1922 – Agnes Nixon, American television writer and director (d. 2016) 1923 – Harold Gould, American actor (d. 2010) 1923 – Clorindo Testa, Italian-Argentinian architect, designed the National Library of the Argentine Republic and Marriott Plaza Hotel (d. 2013) 1924 – Ken Albers, American singer and musician (d. 2007) 1924 – Michael Manley, Jamaican pilot and politician, 4th Prime Minister of Jamaica (d. 1997) 1925 – Carolyn Kizer, American poet and academic (d. 2014) 1926 – Guitar Slim, American blues singer-songwriter and guitarist (d. 1959) 1927 – Bob Farrell, American businessman, founded Farrell's Ice Cream Parlour (d. 2015) 1927 – Danny Matt, German-Israeli general (d. 2013) 1928 – Barbara Nichols, American actress (d. 1976) 1930 – Wayne D. Anderson, American baseball player and coach (d. 2013) 1930 – Michael Jopling, Baron Jopling, English farmer and politician, Minister of Agriculture, Fisheries and Food 1931 – Peter Baker, English-South African footballer and manager (d. 2016) 1933 – Mako Iwamatsu, Japanese actor (d. 2006) 1933 – Philip R. Craig, American author (d. 2007) 1934 – Howard Martin Temin, American geneticist and academic, Nobel Prize laureate (d. 1994) 1935 – Terry Allcock, English footballer and cricketer 1935 – Jaromil Jireš, Czech director and screenwriter (d. 2001) 1936 – Howard Smith, American journalist, director, and producer (d. 2014) 1938 – Bill Dunk, Australian golfer 1938 – Yuri Temirkanov, Russian viola player and conductor 1939 – Dick Bavetta, American basketball player and referee 1939 – Barry Cunliffe, English archaeologist and academic 1941 – Ken Campbell, English actor, director, and screenwriter (d. 2008) 1941 – Fionnula Flanagan, Irish actress and producer 1941 – Tommy Rettig, American child actor (d. 1996) 1941 – Kyu Sakamoto, Japanese singer and actor (d. 1985) 1942 – Ann Gloag, Scottish nurse and businesswoman 1944 – Andris Bērziņš, Latvian businessman and politician, 8th President of Latvia 1944 – John Birt, Baron Birt, English businessman 1944 – Steve Renko, American baseball player 1945 – Mukhtar Altynbayev, Kazakhstani general and politician, 3rd Defence Minister of Kazakhstan 1947 – Rasul Guliyev, Azerbaijani engineer and politician, 22nd Speaker of the National Assembly of Azerbaijan 1948 – Dušan Bajević, Bosnian footballer and manager 1948 – Jessica Cleaves, American singer-songwriter (d. 2014) 1948 – Jasuben Shilpi, Indian sculptor (d. 2013) 1949 – Yasmin Alibhai-Brown, Ugandan-English journalist and author 1949 – David Perdue, American politician 1950 – John Boozman, American football player, lawyer, and politician 1950 – Simon Owen, New Zealand golfer 1951 – Johnny Rodriguez, American country music singer-songwriter and guitarist 1952 – Clive Anderson, English lawyer and television host 1952 – Susan Dey, American actress 1952 – Greg Mortimer, Australian geologist and mountaineer 1952 – Greg Laurie, American author and pastor 1952 – Paul Varul, Estonian lawyer and politician, 6th Estonian Minister of Justice 1953 – Chris Bury, American journalist and academic 1954 – Eudine Barriteau, Barbadian economist and academic 1954 – Price Cobb, American race car driver and manager 1954 – Jack Hues, English singer-songwriter and musician 1956 – Rod Blagojevich, American lawyer and politician, 40th Governor of Illinois 1956 – Roberto Cassinelli, Italian lawyer and politician 1956 – Jan van Dijk, Dutch footballer and manager 1957 – Michael Clarke Duncan, American actor (d. 2012) 1957 – Paul Hardcastle, English composer and producer 1957 – Prem Rawat, Indian-American guru and educator 1958 – Cornelia Funke, German-American author 1958 – Kathryn Stott, English pianist and academic 1959 – Mark Aguirre, American basketball player and coach 1959 – Kevin Ash, English journalist and author (d. 2013) 1959 – Udi Aloni, American-Israeli director and author 1959 – Wolf Hoffmann, German guitarist 1960 – Kenneth Branagh, Northern Ireland-born English actor director, producer, and screenwriter 1960 – Kōichi Satō, Japanese actor 1961 – Mark McKoy, Canadian hurdler and sprinter 1961 – Nia Peeples, American singer and actress 1962 – Rakhat Aliyev, Kazakh politician and diplomat (d. 2015) 1962 – John de Wolf, Dutch footballer and manager 1963 – Jahangir Khan, Pakistani squash player 1963 – Robin White, American tennis player 1964 – Stephen Billington, English actor 1964 – Stef Blok, Dutch banker and politician, Dutch Minister of the Interior 1964 – Bobby Flay, American chef and author 1964 – Edith González, Mexican actress (d. 2019) 1965 – Greg Giraldo, American lawyer, comedian, actor, and screenwriter (d. 2010) 1965 – J Mascis, American singer-songwriter and guitarist 1965 – Stephanie Morgenstern, Swiss-Canadian actress, producer, and screenwriter 1966 – Rein Ahas, Estonian geographer and academic 1966 – Robin Brooke, New Zealand rugby player 1966 – Mel Rojas, Dominican baseball player 1966 – Penelope Trunk, American writer 1968 – Yōko Oginome, Japanese singer, actress, and voice actress 1969 – Darren Berry, Australian cricketer and coach 1969 – Rob Blake, Canadian ice hockey player and manager 1970 – Kevin Sharp, American singer-songwriter (d. 2014) 1970 – Bryant Stith, American basketball player and coach 1972 – Brian Molko, British-Belgian singer-songwriter 1972 – Donavon Frankenreiter, American surfer, singer-songwriter, and guitarist 1973 – Gabriela Spanic, Venezuelan actress 1974 – Meg White, American drummer 1975 – Steve Bradley, American wrestler (d. 2008) 1975 – Emmanuelle Chriqui, Canadian actress 1975 – Josip Skoko, Australian footballer 1976 – Shane Byrne, English motorcycle racer 1978 – Anna Jesień, Polish hurdler 1978 – Summer Phoenix, American actress 1979 – Matt Bentley, American wrestler 1979 – Iain Brunnschweiler, English cricketer 1979 – Yang Jianping, Chinese recurve archer 1980 – Sarah Chang, American violinist 1981 – Taufik Batisah, Singaporean singer 1981 – Fábio Rochemback, Brazilian footballer 1982 – Claudia Hoffmann, German sprinter 1982 – Sultan Kösen, Turkish farmer, tallest living person 1983 – Xavier Samuel, Australian actor 1985 – Charlie Adam, Scottish footballer 1985 – Trésor Mputu, Congolese footballer 1985 – Raven-Symoné, American actress, singer, and dancer 1985 – Lê Công Vinh, Vietnamese footballer 1986 – Kahlil Bell, American football player 1987 – Gonzalo Higuaín, French-Argentinian footballer 1988 – Wilfried Bony, Ivorian footballer 1988 – Neven Subotić, Serbian footballer 1989 – Marion Maréchal-Le Pen, French politician 1989 – Tom Sexton, Australian-Irish rugby player 1990 – Kazenga LuaLua, Congolese-English footballer 1990 – Sakiko Matsui, Japanese singer and actress 1990 – Shoya Tomizawa, Japanese motorcycle racer (d. 2010) 1994 – Richard Kennar, Samoan rugby league player 1994 – Matti Klinga, Finnish footballer 1996 – Joe Burrow, American football player 1996 – Kang Daniel, South Korean singer and entrepreneur 1997 – Viktoriia Savtsova, Ukrainian Paralympic swimmer Deaths Pre-1600 925 – Sancho I, king of Pamplona 949 – Herman I, Duke of Swabia 990 – Folcmar, bishop of Utrecht 1041 – Michael IV the Paphlagonian, Byzantine emperor (b. 1010) 1081 – Nikephoros III Botaneiates, deposed Byzantine Emperor (b. c.1002) 1113 – Radwan, ruler of Aleppo 1310 – Stephen I, Duke of Bavaria (b. 1271) 1454 – Ignatius Behnam Hadloyo, Syriac Orthodox Patriarch of Antioch. 1475 – Paolo Uccello, Italian painter (b. 1397) 1508 – René II, Duke of Lorraine (b. 1451) 1541 – Thomas Culpeper, English courtier (b. 1514) 1541 – Francis Dereham, English courtier (b. c. 1513) 1561 – Caspar Schwenckfeld, German theologian and writer 1601–1900 1618 – Giulio Caccini, Italian composer and educator (b. 1551) 1626 – Edmund Gunter, English mathematician and academic (b. 1581) 1665 – Tarquinio Merula, Italian organist, violinist, and composer (b. 1594) 1736 – António Manoel de Vilhena, Portuguese soldier and politician (b. 1663) 1791 – Jacob Frank, Polish religious leader (b. 1726) 1831 – Thomas Johann Seebeck, German physicist and academic (b. 1770) 1850 – Józef Bem, Polish general and physicist (b. 1794) 1850 – François Sulpice Beudant, French mineralogist and geologist (b. 1787) 1865 – Leopold I of Belgium (b. 1790) 1867 – Sakamoto Ryōma, Japanese samurai and politician (b. 1836) 1896 – Alfred Nobel, Swedish chemist and engineer, invented Dynamite and founded the Nobel Prize (b. 1833) 1901–present 1909 – Red Cloud, American tribal chief (b. 1822) 1911 – Joseph Dalton Hooker, English botanist and explorer (b. 1817) 1917 – Mackenzie Bowell, English-Canadian journalist and politician, 5th Prime Minister of Canada (b. 1823) 1920 – Horace Elgin Dodge, American businessman, co-founded Dodge (b. 1868) 1922 – Clement Lindley Wragge, English meteorologist and author (b. 1852) 1926 – Nikola Pašić, Serbian politician, 46th Prime Minister of Serbia (b. 1845) 1928 – Charles Rennie Mackintosh, Scottish architect and painter (b. 1868) 1929 – Harry Crosby, American publisher and poet (b. 1898) 1932 – Joseph Carruthers, Australian politician, 16th Premier of New South Wales (b. 1857) 1936 – Bobby Abel, English cricketer (b. 1857) 1936 – Luigi Pirandello, Italian dramatist, novelist, and poet Nobel Prize laureate (b. 1867) 1939 – John Grieb, American gymnast and triathlete (b. 1879) 1941 – Colin Kelly, American captain and pilot (b. 1915) 1944 – John Brunt, English captain, Victoria Cross recipient (b. 1922) 1945 – Theodor Dannecker, German captain (b. 1913) 1946 – Walter Johnson, American baseball player, manager, and sportscaster (b. 1887) 1946 – Damon Runyon, American newspaperman and short story writer (b. 1884) 1948 – Na Hye-sok, South Korean journalist, poet, and painter (b. 1896) 1951 – Algernon Blackwood, English author and playwright (b. 1869) 1953 – Abdullah Yusuf Ali, Indian-English scholar and translator (b. 1872) 1956 – David Shimoni, Russian-Israeli poet and translator (b. 1891) 1957 – Napoleon Zervas, Greek general (b. 1891) 1958 – Adolfo Camarillo, American horse breeder, rancher, and philanthropist (b. 1864) 1963 – K. M. Panikkar, Indian historian and diplomat (b. 1894) 1967 – Otis Redding, American singer-songwriter and producer (b. 1941) 1968 – Karl Barth, Swiss theologian and author (b. 1886) 1968 – George Forrest, Northern Irish lawyer and politician (b. 1921) 1968 – Thomas Merton, American monk and author (b. 1915) 1972 – Mark Van Doren, American poet, critic, and academic (b. 1894) 1973 – Wolf V. Vishniac, German-American microbiologist and academic (b. 1922) 1974 – Toshinari Shōji, Japanese general (b. 1890) 1977 – Adolph Rupp, American basketball player and coach (b. 1901) 1978 – Ed Wood, American director, producer, and screenwriter (b. 1924) 1979 – Ann Dvorak, American actress (b. 1911) 1982 – Freeman Gosden, American actor and screenwriter (b. 1899) 1987 – Jascha Heifetz, Lithuanian-American violinist and educator (b. 1901) 1988 – Richard S. Castellano, American actor (b. 1933) 1988 – Johnny Lawrence, English cricketer and coach (b. 1911) 1988 – Dorothy de Rothschild, English philanthropist and activist (b. 1895) 1990 – Armand Hammer, American businessman, founded Occidental Petroleum (b. 1898) 1991 – Greta Kempton, Austrian-American painter and academic (b. 1901) 1992 – Dan Maskell, English tennis player and sportscaster (b. 1908) 1993 – Alice Tully, American soprano (b. 1902) 1994 – Keith Joseph, English lawyer and politician, Secretary of State for Education (b. 1918) 1994 – Alex Wilson, Canadian-American sprinter (b. 1905) 1995 – Darren Robinson, American rapper (b. 1967) 1996 – Faron Young, American singer-songwriter, guitarist, and actor (b. 1932) 1999 – Rick Danko, Canadian singer-songwriter, bass player, and producer (b. 1943) 1999 – Franjo Tuđman, Croatian general and politician, 1st President of Croatia (b. 1922) 1999 – Woodrow Borah, American historian of Spanish America (b. 1912) 2000 – Marie Windsor, American actress (b. 1919) 2001 – Ashok Kumar, Indian actor, singer, and producer (b. 1911) 2002 – Andres Küng, Swedish journalist and politician (b. 1945) 2002 – Ian MacNaughton, Scottish actor, director, and producer (b. 1925) 2003 – Sean McClory, Irish actor and director (b. 1924) 2004 – Gary Webb, American journalist and author (b. 1955) 2005 – Mary Jackson, American actress (b. 1910) 2005 – Eugene McCarthy, American poet, academic, and politician (b. 1916) 2005 – Richard Pryor, American comedian, actor, producer, and screenwriter (b. 1940) 2006 – Olivia Coolidge, English-American author and educator (b. 1908) 2006 – Augusto Pinochet, Chilean general and dictator, 30th President of Chile (b. 1915) 2007 – Vitali Hakko, Turkish businessman, founded Vakko (b. 1913) 2009 – Vladimir Teplyakov, Russian soldier and physicist (b. 1925) 2010 – John Fenn, American chemist and academic, Nobel Prize laureate (b. 1917) 2010 – J. Michael Hagopian, Armenian-American director, producer, and screenwriter (b. 1913) 2010 – MacKenzie Miller, American horse trainer and breeder (b. 1921) 2012 – Iajuddin Ahmed, Bangladeshi academic and politician, 13th President of Bangladesh (b. 1931) 2012 – Antonio Cubillo, Spanish lawyer and politician (b. 1930) 2012 – Tommy Roberts, English fashion designer (b. 1942) 2013 – Alan Coleman, English-Australian director, producer, and screenwriter (b. 1936) 2013 – Jim Hall, American guitarist and composer (b. 1930) 2013 – Don Lund, American baseball player and coach (b. 1923) 2013 – Srikanta Wadiyar, Indian politician and the titular Maharaja of Mysore(b. 1946) 2014 – Ralph Giordano, German author and publicist (b. 1923) 2014 – Robert B. Oakley, American diplomat, 19th United States Ambassador to Pakistan (b. 1931) 2014 – Bob Solinger, Canadian ice hockey player (b. 1925) 2014 – Judy Baar Topinka, American journalist and politician (b. 1944) 2014 – Gerard Vianen, Dutch cyclist (b. 1944) 2015 – Ron Bouchard, American race car driver and businessman (b. 1948) 2015 – Denis Héroux, Canadian director and producer (b. 1940) 2015 – Arnold Peralta, Honduran footballer (b. 1989) 2015 – Dolph Schayes, American basketball player and coach (b. 1928) 2017 – Bruce Brown, American filmmaker (b. 1937) 2017 – Max Clifford, British publicist (b. 1943) 2017 – Charles M. Green Jr., American Internet personality (b. 1950) 2017 – Curtis W. Harris, American minister (b. 1924) 2019 – Philip McKeon, American actor (b. 1964) 2019 – Gershon Kingsley, American composer and musician (b. 1922) 2019 – Emily Mason, American painter (b. 1932) 2020 – Tommy "Tiny" Lister Jr., American actor and wrestler (b. 1958) 2020 – Joseph Safra, Lebanese-Brazilian financier (b.1938) 2020 – Carol Sutton, American actress (b. 1944) 2020 – Barbara Windsor, English actress (b. 1937) 2021 – Michael Nesmith, American musician (The Monkees), songwriter, actor, producer, and novelist (b. 1942) Holidays and observances Alfred Nobel Day or Nobeldagen (Sweden) Christian feast day: Behnam, Sarah, and the Forty Martyrs (Syriac Orthodox Church) Eulalia of Mérida Karl Barth (Episcopal Church (USA)) Thomas Merton (Episcopal Church (USA)) Translation of the Holy House of Loreto December 10 (Eastern Orthodox liturgics) Constitution Day (Thailand) Human Rights Day (International) References External links BBC: On This Day Historical Events on December 10 Today in Canadian History Days of the year December
8724
https://en.wikipedia.org/wiki/Doppler%20effect
Doppler effect
The Doppler effect or Doppler shift (or simply Doppler, when in context) is the change in frequency of a wave in relation to an observer who is moving relative to the wave source. It is named after the Austrian physicist Christian Doppler, who described the phenomenon in 1842. A common example of Doppler shift is the change of pitch heard when a vehicle sounding a horn approaches and recedes from an observer. Compared to the emitted frequency, the received frequency is higher during the approach, identical at the instant of passing by, and lower during the recession. The reason for the Doppler effect is that when the source of the waves is moving towards the observer, each successive wave crest is emitted from a position closer to the observer than the crest of the previous wave. Therefore, each wave takes slightly less time to reach the observer than the previous wave. Hence, the time between the arrivals of successive wave crests at the observer is reduced, causing an increase in the frequency. While they are traveling, the distance between successive wave fronts is reduced, so the waves "bunch together". Conversely, if the source of waves is moving away from the observer, each wave is emitted from a position farther from the observer than the previous wave, so the arrival time between successive waves is increased, reducing the frequency. The distance between successive wave fronts is then increased, so the waves "spread out". For waves that propagate in a medium, such as sound waves, the velocity of the observer and of the source are relative to the medium in which the waves are transmitted. The total Doppler effect may therefore result from motion of the source, motion of the observer, or motion of the medium. Each of these effects is analyzed separately. For waves which do not require a medium, such as electromagnetic waves or gravitational waves, only the relative difference in velocity between the observer and the source needs to be considered. When this relative velocity is not negligible compared to the speed of light, a more complicated relativistic Doppler effect arises. History Doppler first proposed this effect in 1842 in his treatise "Über das farbige Licht der Doppelsterne und einiger anderer Gestirne des Himmels" (On the coloured light of the binary stars and some other stars of the heavens). The hypothesis was tested for sound waves by Buys Ballot in 1845. He confirmed that the sound's pitch was higher than the emitted frequency when the sound source approached him, and lower than the emitted frequency when the sound source receded from him. Hippolyte Fizeau discovered independently the same phenomenon on electromagnetic waves in 1848 (in France, the effect is sometimes called "effet Doppler-Fizeau" but that name was not adopted by the rest of the world as Fizeau's discovery was six years after Doppler's proposal). In Britain, John Scott Russell made an experimental study of the Doppler effect (1848). General In classical physics, where the speeds of source and the receiver relative to the medium are lower than the velocity of waves in the medium, the relationship between observed frequency and emitted frequency is given by: where is the propagation speed of waves in the medium; is the speed of the receiver relative to the medium, added to if the receiver is moving towards the source, subtracted if the receiver is moving away from the source; is the speed of the source relative to the medium, added to if the source is moving away from the receiver, subtracted if the source is moving towards the receiver. Note this relationship predicts that the frequency will decrease if either source or receiver is moving away from the other. Equivalently, under the assumption that the source is either directly approaching or receding from the observer: where is the wave's velocity relative to the receiver; is the wave's velocity relative to the source; is the wavelength. If the source approaches the observer at an angle (but still with a constant velocity), the observed frequency that is first heard is higher than the object's emitted frequency. Thereafter, there is a monotonic decrease in the observed frequency as it gets closer to the observer, through equality when it is coming from a direction perpendicular to the relative motion (and was emitted at the point of closest approach; but when the wave is received, the source and observer will no longer be at their closest), and a continued monotonic decrease as it recedes from the observer. When the observer is very close to the path of the object, the transition from high to low frequency is very abrupt. When the observer is far from the path of the object, the transition from high to low frequency is gradual. If the speeds and are small compared to the speed of the wave, the relationship between observed frequency and emitted frequency is approximately where is the opposite of the velocity of the receiver relative to the source: it is positive when the source and the receiver are moving towards each other. Consequences With an observer stationary relative to the medium, if a moving source is emitting waves with an actual frequency (in this case, the wavelength is changed, the transmission velocity of the wave keeps constant; note that the transmission velocity of the wave does not depend on the velocity of the source), then the observer detects waves with a frequency given by A similar analysis for a moving observer and a stationary source (in this case, the wavelength keeps constant, but due to the motion, the rate at which the observer receives waves and hence the transmission velocity of the wave [with respect to the observer] is changed) yields the observed frequency: Assuming a stationary observer and a source moving at the speed of sound, the Doppler equation predicts a perceived momentary infinite frequency by an observer in front of a source traveling at the speed of sound. All the peaks are at the same place, so the wavelength is zero and the frequency is infinite. This overlay of all the waves produces a shock wave which for sound waves is known as a sonic boom. When the source moves faster than the wave speed the source outruns the wave. The equation gives negative frequency values, which have no physical sense in this context (no sound at all will be heard by the observer until the source passes past them). Lord Rayleigh predicted the following effect in his classic book on sound: if the observer were moving from the (stationary) source at twice the speed of sound, a musical piece previously emitted by that source would be heard in correct tempo and pitch, but as if played backwards. Applications Acoustic Doppler current profiler An acoustic Doppler current profiler (ADCP) is a hydroacoustic current meter similar to a sonar, used to measure water current velocities over a depth range using the Doppler effect of sound waves scattered back from particles within the water column. The term ADCP is a generic term for all acoustic current profilers, although the abbreviation originates from an instrument series introduced by RD Instruments in the 1980s. The working frequencies range of ADCPs range from 38 kHz to several Megahertz. The device used in the air for wind speed profiling using sound is known as SODAR and works with the same underlying principles. Robotics Dynamic real-time path planning in robotics to aid the movement of robots in a sophisticated environment with moving obstacles often take help of Doppler effect. Such applications are specially used for competitive robotics where the environment is constantly changing, such as robosoccer. Sirens A siren on a passing emergency vehicle will start out higher than its stationary pitch, slide down as it passes, and continue lower than its stationary pitch as it recedes from the observer. Astronomer John Dobson explained the effect thus: In other words, if the siren approached the observer directly, the pitch would remain constant, at a higher than stationary pitch, until the vehicle hit him, and then immediately jump to a new lower pitch. Because the vehicle passes by the observer, the radial velocity does not remain constant, but instead varies as a function of the angle between his line of sight and the siren's velocity: where is the angle between the object's forward velocity and the line of sight from the object to the observer. Astronomy The Doppler effect for electromagnetic waves such as light is of widespread use in astronomy to measure the speed at which stars and galaxies are approaching or receding from us, resulting in so called blueshift or redshift, respectively. This may be used to detect if an apparently single star is, in reality, a close binary, to measure the rotational speed of stars and galaxies, or to detect exoplanets. This effect typically happens on a very small scale; there would not be a noticeable difference in visible light to the unaided eye. The use of the Doppler effect in astronomy depends on knowledge of precise frequencies of discrete lines in the spectra of stars. Among the nearby stars, the largest radial velocities with respect to the Sun are +308 km/s (BD-15°4041, also known as LHS 52, 81.7 light-years away) and −260 km/s (Woolley 9722, also known as Wolf 1106 and LHS 64, 78.2 light-years away). Positive radial velocity means the star is receding from the Sun, negative that it is approaching. Redshift is also used to measure the expansion of space, but this is not truly a Doppler effect. Rather, redshifting due to the expansion of space is known as cosmological redshift, which can be derived purely from the Robertson-Walker metric under the formalism of general relativity. Having said this, it also happens that there are detectable Doppler effects on cosmological scales, which, if incorrectly interpreted as cosmological in origin, lead to the observation of redshift-space distortions. Radar The Doppler effect is used in some types of radar, to measure the velocity of detected objects. A radar beam is fired at a moving target — e.g. a motor car, as police use radar to detect speeding motorists — as it approaches or recedes from the radar source. Each successive radar wave has to travel farther to reach the car, before being reflected and re-detected near the source. As each wave has to move farther, the gap between each wave increases, increasing the wavelength. In some situations, the radar beam is fired at the moving car as it approaches, in which case each successive wave travels a lesser distance, decreasing the wavelength. In either situation, calculations from the Doppler effect accurately determine the car's velocity. Moreover, the proximity fuze, developed during World War II, relies upon Doppler radar to detonate explosives at the correct time, height, distance, etc. Because the doppler shift affects the wave incident upon the target as well as the wave reflected back to the radar, the change in frequency observed by a radar due to a target moving at relative velocity is twice that from the same target emitting a wave: Medical An echocardiogram can, within certain limits, produce an accurate assessment of the direction of blood flow and the velocity of blood and cardiac tissue at any arbitrary point using the Doppler effect. One of the limitations is that the ultrasound beam should be as parallel to the blood flow as possible. Velocity measurements allow assessment of cardiac valve areas and function, abnormal communications between the left and right side of the heart, leaking of blood through the valves (valvular regurgitation), and calculation of the cardiac output. Contrast-enhanced ultrasound using gas-filled microbubble contrast media can be used to improve velocity or other flow-related medical measurements. Although "Doppler" has become synonymous with "velocity measurement" in medical imaging, in many cases it is not the frequency shift (Doppler shift) of the received signal that is measured, but the phase shift (when the received signal arrives). Velocity measurements of blood flow are also used in other fields of medical ultrasonography, such as obstetric ultrasonography and neurology. Velocity measurement of blood flow in arteries and veins based on Doppler effect is an effective tool for diagnosis of vascular problems like stenosis. Flow measurement Instruments such as the laser Doppler velocimeter (LDV), and acoustic Doppler velocimeter (ADV) have been developed to measure velocities in a fluid flow. The LDV emits a light beam and the ADV emits an ultrasonic acoustic burst, and measure the Doppler shift in wavelengths of reflections from particles moving with the flow. The actual flow is computed as a function of the water velocity and phase. This technique allows non-intrusive flow measurements, at high precision and high frequency. Velocity profile measurement Developed originally for velocity measurements in medical applications (blood flow), Ultrasonic Doppler Velocimetry (UDV) can measure in real time complete velocity profile in almost any liquids containing particles in suspension such as dust, gas bubbles, emulsions. Flows can be pulsating, oscillating, laminar or turbulent, stationary or transient. This technique is fully non-invasive. Satellites Satellite navigation The Doppler shift can be exploited for satellite navigation such as in Transit and DORIS. Satellite communication Doppler also needs to be compensated in satellite communication. Fast moving satellites can have a Doppler shift of dozens of kilohertz relative to a ground station. The speed, thus magnitude of Doppler effect, changes due to earth curvature. Dynamic Doppler compensation, where the frequency of a signal is changed progressively during transmission, is used so the satellite receives a constant frequency signal. After realizing that the Doppler shift had not been considered before launch of the Huygens probe of the 2005 Cassini–Huygens mission, the probe trajectory was altered to approach Titan in such a way that its transmissions traveled perpendicular to its direction of motion relative to Cassini, greatly reducing the Doppler shift. Doppler shift of the direct path can be estimated by the following formula: where is the velocity of the mobile station, is the wavelength of the carrier, is the elevation angle of the satellite and is the driving direction with respect to the satellite. The additional Doppler shift due to the satellite moving can be described as: where is the relative speed of the satellite. Audio The Leslie speaker, most commonly associated with and predominantly used with the famous Hammond organ, takes advantage of the Doppler effect by using an electric motor to rotate an acoustic horn around a loudspeaker, sending its sound in a circle. This results at the listener's ear in rapidly fluctuating frequencies of a keyboard note. Vibration measurement A laser Doppler vibrometer (LDV) is a non-contact instrument for measuring vibration. The laser beam from the LDV is directed at the surface of interest, and the vibration amplitude and frequency are extracted from the Doppler shift of the laser beam frequency due to the motion of the surface. Developmental biology During the segmentation of vertebrate embryos, waves of gene expression sweep across the presomitic mesoderm, the tissue from which the precursors of the vertebrae (somites) are formed. A new somite is formed upon arrival of a wave at the anterior end of the presomitic mesoderm. In zebrafish, it has been shown that the shortening of the presomitic mesoderm during segmentation leads to a Doppler-like effect as the anterior end of the tissue moves into the waves. This effect contributes to the period of segmentation. Inverse Doppler effect Since 1968 scientists such as Victor Veselago have speculated about the possibility of an inverse Doppler effect. The size of the Doppler shift depends on the refractive index of the medium a wave is traveling through. But some materials are capable of negative refraction, which should lead to a Doppler shift that works in a direction opposite that of a conventional Doppler shift. First experiment that detected this effect was conducted by Nigel Seddon and Trevor Bearpark in Bristol, United Kingdom in 2003. Later inverse Doppler effect was observed in some inhomogeneous materials and predicted inside Vavilov–Cherenkov cone. See also Bistatic Doppler shift Differential Doppler effect Doppler cooling Dopplergraph Fading Fizeau experiment Photoacoustic Doppler effect Rayleigh fading Redshift Laser Doppler imaging Relativistic Doppler effect Primary sources References Further reading Doppler, C. (1842). Über das farbige Licht der Doppelsterne und einiger anderer Gestirne des Himmels (About the coloured light of the binary stars and some other stars of the heavens). Publisher: Abhandlungen der Königl. Böhm. Gesellschaft der Wissenschaften (V. Folge, Bd. 2, S. 465–482) [Proceedings of the Royal Bohemian Society of Sciences (Part V, Vol 2)]; Prague: 1842 (Reissued 1903). Some sources mention 1843 as year of publication because in that year the article was published in the Proceedings of the Bohemian Society of Sciences. Doppler himself referred to the publication as "Prag 1842 bei Borrosch und André", because in 1842 he had a preliminary edition printed that he distributed independently. "Doppler and the Doppler effect", E. N. da C. Andrade, Endeavour Vol. XVIII No. 69, January 1959 (published by ICI London). Historical account of Doppler's original paper and subsequent developments. David Nolte (2020). The fall and rise of the Doppler effect. Physics Today, v. 73, pgs. 31 - 35. DOI: 10.1063/PT.3.4429 External links Doppler Effect, ScienceWorld Wave mechanics Radio frequency propagation Radar signal processing Sound Acoustics
8730
https://en.wikipedia.org/wiki/Volkssturm
Volkssturm
The (; "people's storm") was a levée en masse national militia established by Nazi Germany during the last months of World War II. It was not set up by the German Army, the ground component of the combined German Wehrmacht armed forces, but by the Nazi Party on the orders of Adolf Hitler and established on 25 September 1944. It was staffed by conscripting males between the ages of 16 and 60 years, who were not already serving in some military unit. The Volkssturm comprised one of the final components of the total war promulgated by Propaganda Minister Joseph Goebbels, part of a Nazi endeavor to overcome their enemies' military strength through force of will. Volkssturm units fought unsuccessful futile battles against the Allied forces at the end of the war and on several occasions, its members participated in atrocities accompanied by German civilians and the Hitler Youth, which were overseen by members of the SS or Gau leaders. Origins and organization The new Volkssturm drew inspiration from the old Prussian Landsturm of 1813–1815, that fought in the liberation wars against Napoleon, mainly as guerrilla forces. Plans to form a Landsturm national militia in eastern Germany as a last resort to boost fighting strength were first proposed in 1944 by General Heinz Guderian, chief of the General Staff. The Army did not have enough men to resist the Soviet onslaught. So, additional categories of men were called into service, including those in non-essential jobs, those previously deemed unfit, over-age, or under-age, and those recovering from wounds. The Volkssturm had existed, on paper, since around 1925, but it was only after Hitler ordered Martin Bormann to recruit six million men for this militia that the group became a physical reality. While the regime formally established the Volkssturm on 25 September, it was not announced to the public until 16 October 1944. Despite the appeal for this last-ditch effort, the intended strength of "six million" members was never attained. Joseph Goebbels and other propagandists depicted the Volkssturm as an outburst of enthusiasm and the will to resist. Historian Daniel Blatman writes that the Volkssturm was portrayed as the "incarnation" of the greater Volksgemeinschaft, whereby "all differences in social status, origin, or age and unite all people on the basis of race. It was the service framework for members of the local community, who had been raised together and lived side by side, and now bore arms together in order to defend the community." In some regards, the Volkssturm was the culmination of Goebbels' "total war" speech of February 1943 and its formation was "given a big build-up" in the November 1944 newsreel episode of Die Deutsche Wochenschau. Consistent messages of final victory from various Nazi media outlets accompanying the Volkssturm's creation provided a psychological rallying point for the civilian population. While it had some marginal effect on morale, it was undermined by the recruits' visible lack of uniforms and weaponry. Nazi themes of death, transcendence, and commemoration were given full play to encourage the fight. Many German civilians realized that this was a desperate attempt to turn the course of the war. Sardonic old men would remark, "We old monkeys are the Führer’s newest weapon" (in German this rhymes: "Wir alten Affen sind des Führers neue Waffen"). A popular joke about the Volkssturm went "Why is the Volkssturm Germany's most precious resource? Because its members have silver in their hair, gold in their mouths, and lead in their bones." For these militia units to be effective, they needed not only strength in numbers, but also fanaticism. During the early stages of Volkssturm planning, it became apparent that units lacking morale would lack combat effectiveness. To generate fanaticism, Volkssturm units were placed under direct command of the local Nazi party officials, the Gauleiter and Kreisleiter. The new Volkssturm was also to become a nationwide organization, with Heinrich Himmler, as Replacement Army commander, responsible for armament and training. Though nominally under party control, Volkssturm units were placed under Wehrmacht command when engaged in action. Aware that a "people's army" would not be able to withstand the onslaught of the modern army wielded by the Allies, Hitler issued the following order towards the end of 1944: Experience in the East has shown that Volkssturm, emergency and reserve units have little fighting value when left to themselves, and can be quickly destroyed. The fighting value of these units, which are for the most part strong in numbers, but weak in the armaments required for modern battle, is immeasurably higher when they go into action with troops of the regular army in the field. I, therefore, order: where Volkssturm, emergency, and reserve units are available, together with regular units, in any battle sector, mixed battle-groups (brigades) will be formed under unified command, so as to give the Volkssturm, emergency, and reserve units stiffening and support. With the Nazi Party in charge of organizing the Volkssturm, each Gauleiter, or Nazi Party District Leader, was charged with the leadership, enrollment, and organization of the Volkssturm in their district. The largest Volkssturm unit seems to have corresponded to the next smaller territorial subdivision of the Nazi Party organization—the Kreis. The basic unit was a battalion of 642 men. Units were mostly composed of members of the Hitler Youth, invalids, the elderly, or men who had previously been considered unfit for military service. On 12 February 1945, the Nazis conscripted German women and girls into the auxiliaries of the Volkssturm. Correspondingly, girls as young as 14 years were trained in the use of small arms, panzerfaust, machine guns, and hand grenades from December 1944 through May 1945. Municipal organization: A Bataillon (battalion) in every Kreis (roughly equivalent to a U.S. county; there were 920 Kreise in Greater Germany) A Kompanie (company) in every Ortsgruppe (the "local chapter" of the Nazi Party). A Zug (platoon) in every Zelle (literally a "cell" of Party members; roughly equivalent to a U.S. precinct) A Gruppe (squad) in every Block (city block) Each Gauleiter and Kreisleiter had a Volkssturm Chief of Staff. From the militia's inception until the spring of 1945, Himmler and Bormann engaged in a power-struggle over the jurisdictional control over the Volkssturm regarding security and police powers in Germany and the occupied territories; a contest which Himmler and his SS more or less won on one level (police and security), but lost to Bormann on another (mobilizing reserve forces). Historian David Yelton described the situation as two ranking officers at the helm of a sinking ship fighting over command. Benito Mussolini suggested, through his son Vittorio, then general secretary of the Republican Fascist party's German branch, that 30,000 Italians should be added to the Volkssturm in defense of Germany. However, no evidence exists that this offer was implemented. Uniforms and insignia The Volkssturm "uniform" was only a black armband with the German words Deutscher Volkssturm Wehrmacht ("German People's Storm Armed Forces"). The German government tried to issue as many of its members as possible with military uniforms of all sorts, ranging from Feldgrau to camouflage types. A telling example of the Volkssturm's piecemeal outfitting occurred in the Rhineland, where one unit was provided with "pre-war black SS uniforms, brown Organization Todt coats, blue Air Force auxiliary caps, and French steel helmets." Most members of the Volkssturm, especially elderly members, had no uniform and were not supplied, so they generally wore either work uniforms (including railway workers, policemen and firemen), Hitler Youth uniforms, old uniforms or their parts from the time of the First World War or their civilian clothing and usually carried with them their own personal rucksacks, blankets, cooking-equipment, etc. Ranks The simple paramilitary insignia of the Volkssturm were as follows: Training and impact Typically, members of the Volkssturm received only very basic military training. It included a brief indoctrination and training on the use of basic weapons such as the Karabiner 98k rifle and Panzerfaust. Because of continuous fighting and weapon shortages, weapon training was often minimal. There was also a lack of instructors, meaning that weapons training was sometimes done by World War I veterans drafted into service themselves. Often Volkssturm members were only able to familiarize themselves with their weapons when in actual combat. There was no standardization of any kind and units were issued only what equipment was available. This was true of every form of equipment—Volkssturm members were required to bring their own uniforms and culinary equipment etc. This resulted in the units looking very ragged and, instead of boosting civilian morale, it often reminded people of Germany's desperate state. Armament was equally haphazard: though some Karabiner 98ks were on hand, members were also issued older Gewehr 98s and 19th-century Gewehr 71s and Steyr-Mannlicher M1888s, as well as Dreyse M1907 pistols. In addition there was a plethora of Soviet, British, Belgian, French, Italian, and other weapons that had been captured by German forces during the war. The Germans had also developed cheap but reasonably effective Volkssturm weapons, such as MP 3008 machine pistols and Volkssturmgewehr rifles. These were completely stamped and machine-pressed constructions (in the 1940s, industrial processes were much cruder than today, so a firearm needed great amounts of semi-artisanal work to be actually reliable). The Volkssturm troops were nominally supplied when and where possible by both the Wehrmacht and the SS. By the end of January 1945, the Volkssturm had only accumulated 40,500 rifles and 2,900 machine guns amid this mish-mash of foreign and outdated assemblage of weapons. When units had completed their training and received armament, members took a customary oath to Hitler and were then dispatched into combat. Teenagers and middle-aged men were sent to separate training camps, some of whom received as little as ten to fourteen days of training before being sent to fight. Unlike most English-speaking countries, Germany had universal military service for all young men for several generations, so many of the older members would have had at least basic military training from when they served in the German Army and many would have been veterans of the First World War. Volkssturm units were supposed to be used only in their own districts, but many were sent directly to the front lines. Ultimately, it was their charge to confront the overwhelming power of the British, Canadian, Soviet, American, and French armies alongside Wehrmacht forces to either turn the tide of the war or set a shining example for future generations of Germans and expunge the defeat of 1918 by fighting to the last, dying before surrendering. It was an apocalyptic goal which some of those assigned to the Volkssturm took to heart. Unremittingly fanatical members of the Volkssturm refused to abandon the Nazi ethos unto the dying days of Nazi Germany, and in a number of instances took brutal "police actions" against German civilians deemed defeatists or cowards. On some occasions, members of the Volkssturm showed tremendous courage and a determined will to resist, more so even than soldiers in the Wehrmacht. The Volkssturm battalion 25/235 for instance, started out with 400 men but fought on until there were only 10 men remaining. Fighting at Küstrin between 30 January to 29 March 1945, militia units made up mostly of the Volkssturm resisted for nearly two months. Losses were upwards of 60 percent for the Volkssturm at Kolberg, roughly 1900 of them died at Breslau, and during the Battle of Königsberg (Kaliningrad), another 2400 members of the Volkssturm were killed. At other times along the western front particularly, Volkssturm troops would cast their arms aside and disappear into the chaos. Youthful ardor and fanaticism among Hitler Youth members fighting with the Volkssturm or an insatiable sense of duty from old men proved tragic sometimes. An example shared by historian Stephen Fritz is instructive in this case: In one representative village just north of Bad Windsheim, the Herbolzheim Volkssturm unit, with its customary composition of elderly men and young boys under the influence of a few regular army soldiers, foolishly declared the town a fortress and laid mines in the streets. As American troops approached in midmorning on April 12, shots from the village rang out. Angered, the Americans commenced a two-hour artillery barrage complemented by aerial attacks that gutted the town with incendiary and high-explosive bombs. With their village engulfed in flames, the civilian inhabitants, mostly the elderly, women, and children, fled in search of shelter to the surrounding fields, all the while under American fire. Not every Volkssturm unit was suicidal or apocalyptic in outlook as the war drew closer to its end. Many of them lost their enthusiasm for the fight when it became clear that the Allies had won, prompting them to lay down their weapons and surrender – they also feared being captured by Allied forces and tortured or executed as partisans. Duty to their communities and sparing them from horrors like at Bad Windsheim also played a part in their capitulation, as did self-preservation. Battle for Berlin Their most extensive use was during the Battle of Berlin, where Volkssturm units fought in many parts of the city. This battle was particularly devastating to its formations; however, many members fought to the death out of fear of being captured by the Soviets, holding out to the very end, which was in keeping with their covenant. The Volkssturm had a strength of about 60,000 in the Berlin area, formed into 92 battalions, of which about 30 battalions of Volkssturm I (those with some weapons) were sent to forward positions, while those of Volkssturm II (those without weapons) remained in the inner city. One of the few substantive fighting units left to defend Berlin was the LVI Panzer Corps, which occupied the southeastern sector of the town, whereas the remaining parts of the city were being defended by what remained of the SS, the Volkssturm, and the Hitler Youth formations. Nonetheless, a force of over 2.5 million Soviet troops, equipped with 6,250 tanks and over 40,000 artillery pieces were assigned to capture the city, and the diminished remnants of the Wehrmacht were no match for them. Meanwhile, Hitler denounced every perceived "betrayal" to the inhabitants of the Führerbunker. Not eager to die what was thought to be a pointless death, many older members of the Volkssturm looked for places to hide from the approaching Soviet Army. Juxtaposed against the tragic image of Berlin holding out against all odds was the frequent exodus and capitulation of Wehrmacht soldiers and members of the Volkssturm in southern and western Germany. One notable and unusual Volkssturm unit in the Battle for Berlin was the 3/115 Siemensstadt Battalion. It comprised 770 men, mainly First World War veterans in their 50s who were reasonably fit factory workers, with experienced officers. Unlike most Volkssturm units it was quite well equipped and trained. It was formed into three rifle companies, a support company (with two infantry support guns, four infantry mortars and heavy machine guns), and a heavy weapons company (with four Soviet M-20 howitzers and a French De Bange 220 mm mortar). The battalion first engaged Soviet troops at Friedrichsfelde on 21 April and saw the heaviest fighting over the following two days. It held out until 2 May, by which time it was down to just 50 rifles and two light machine guns. The survivors fell back to join other Volkssturm units. 26 men from the battalion were awarded the Iron Cross. Allied bombing and Soviet artillery had reduced Berlin to rubble; meanwhile the final stand in Berlin dwindled to fighting against highly trained, battle-hardened Soviet troops on the brink of final victory, who viewed resistance fighters like the Volkssturm as terrorists in much the same way the Wehrmacht once had viewed potential partisans during Operation Barbarossa. Red Army soldiers called the Hitler Youth formations and members of the Volkssturm still fighting to the end in Berlin "totals" for being part of Germany's total mobilization effort. Role in atrocities On several occasions, members of the Volkssturm either attempted to avert or participated in atrocities. During January 1945, thousands of prisoners were evacuated and force-marched from several smaller concentrations camps—which included Jesau, Seerappen, Schippenbeil, Gerdauen, and Helgenbeil—near Königsberg, many dying along the way. Upon reaching Palmnicken some 2,500 to 3,000 prisoners of the 5,000 that originally began the journey, were lodged in a factory. Mayor and local Nazi party chief, Kurt Friedrichs, wanted the SS to send these prisoners on their way since the Red Army was not far away. When local Volkssturm leader Hans Feyerabend was ordered to transport the suffering prisoners out of the town, he refused to carry out the order and was heard exclaiming that he would not permit a massacre like the one at Katyn forest. Feyerabend even assigned Volkssturm guards to keep watch on the local Nazi party members, but this proved fruitless when Friedrich armed a group of Hitler Youth and likewise summoned the local SD elements, whose leaders then commanded the Volkssturm to help evacuate the prisoners. On 30 January 1945, after the Volkssturm left with Friedrich in charge, Feyerabend committed suicide; then between 30 January and 1 February the prisoners were murdered by the remaining assemblage of SS guards, Hitler Youth, and the local Volkssturm unit. When prisoners fell sick with typhus in the Styria Gau during February–March 1945, SS men, Hitler Youth, and Volkssturm units systematically murdered them. Under the orders of Loeben-district Kreisleiter, Otto Christandl, Volkssturm units in nearby Graz and Eisenerz assisted the Gestapo and Ukrainian Waffen-SS men in evacuating between 6,000 and 8,000 prisoners—being marched towards Mauthausen—from their region, many of whom were murdered during the journey when they collapsed from exhaustion. Sometime in early April 1945 as Allied forces approached the Mittelwerk facilities—where V2 rockets were being produced—the slave laborers from the Mittelbau-Dora concentration camp were force-marched from the western Harz by a collection of guards drawn from the military, the Hitler Youth, and the Volkssturm. Approximately 40 kilometers north of Magdeburg in the village of Mieste, this motley assemblage of guards locked a thousand of these prisoners in a barn and burned them alive at the instruction of a local Nazi Party leader; this event came to be known as the Gardelegen massacre. At the town of Celle in Lower Saxony around the same time, members of the SS, SA, local police, Hitler Youth, and Volkssturm were aided by locals to "hunt down and shoot" prisoners who had fled into the local woodland after their transport train was bombed. Interrogated members of the Volkssturm—when questioned as to where the regular forces had gone—revealed that German soldiers surrendered to the Americans and British instead of the Red Army for fear of reprisals related to the atrocities they had committed in the Soviet Union. Final phase While Iron Crosses were being handed out in places like Berlin, other cities and towns like Parchim and Mecklenburg witnessed old elites, acting as military commandants over the Hitler Youth and Volkssturm, asserting themselves and demanding that the defensive fighting stop so as to spare lives and property. Despite their efforts, the last four months of the war were an exercise in futility for the Volkssturm, and the Nazi leadership's insistence to continue the fight to the bitter end contributed to an additional 1.23 million (approximated) deaths, half of them German military personnel and the other half from the Volkssturm. In many small towns, when leading members of the Volkssturm refused to fight on against the superior forces of the Allies—part of an attempt to circumvent the "total destruction" of their home regions—they were tried and "summarily hanged" by party activists. Thousands were killed like this in Franken during the spring of 1945. Notable members Otto Dix, German painter Gerhart Drabsch, German writer, killed on the Eastern Front in 1945 Martin Heidegger, German philosopher Hans Modrow, penultimate Prime Minister of East Germany Ernst Tiburzy, received the Knight's Cross of the Iron Cross. Gustav Anton von Wietersheim, WW1 veteran and WW2 general dismissed for apparent failures early in the Battle of Stalingrad In fiction Gregor Dorfmeister, under the pseudonym of Manfred Gregor, in 1958 published the novel Die Brücke, based on his experiences in a Volkssturm unit. The novel was adapted to film the following year and to a made-for-television movie in 2008. Volkssturm units composed of teenagers are depicted in battle scenes in the 2004 film Downfall. See also Einstossflammenwerfer 46 Landwehr MP 3008 Volksgrenadier Volkspistole Volkssturmgewehr Wachdienst Werwolf Guerrillas Other nations: Black Brigades (Italy) Home Guard (United Kingdom) Volunteer Fighting Corps (Japan) Notes References Citations Bibliography Massaquoi, Hans J. (1990). Destined to Witness: Growing Up Black in Nazi Germany. Chapel Hill: University of North Carolina Press. External links U.S. Wartime Intelligence Report on German Volkssturm Groups of World War II Home front during World War II Paramilitary organisations based in Germany Civil defense Military units and formations established in 1944 Military units and formations of Germany in World War II German words and phrases
8751
https://en.wikipedia.org/wiki/Dominatrix
Dominatrix
A dominatrix (; ) is a woman who takes the dominant role in BDSM activities. A dominatrix might be of any sexual orientation, but her orientation does not necessarily limit the genders of her submissive partners. Dominatrices are known for inflicting physical pain on their submissive subjects, but this is not done in every case. In some instances erotic humiliation is used, such as verbal humiliation or the assignment of humiliating tasks. Dominatrices also make use of other forms of servitude. A dominatrix is typically a paid professional (pro-domme) as the term dominatrix is little-used within the non-professional BDSM scene. The term domme is likely a coined pseudo-French feminine inflection of the slang dom (short for dominant). The use of domme, dominatrix, dom, or dominant by any woman in a dominant role is chosen mostly by personal preference and the conventions of the local BDSM scene. The term mistress or dominant mistress is sometimes also used. Female dominance (also known as female domination or femdom) is a BDSM activity in which the dominant partner is female. However, while the term mistress is often depicted in the media, members of the BDSM community often avoid it, as it has negative implications as referring to a female with which a person has an illicit affair-with (thus cheating on another partner). Since there is a large overlap between the BDSM and polyamory communities, where ethical conduct is a prime value, any hint of non-ethical conduct is highly frowned-upon. Etymology Dominatrix is the feminine form of the Latin dominator, a ruler or lord, and was originally used in a non-sexual sense. Its use in English dates back to at least 1561. Its earliest recorded use in the prevalent modern sense, as a female dominant in S&M, dates to 1961. It was initially coined to describe a woman who provides punishment-for-pay as one of the case studies within Bruce Roger's pulp paperback The Bizarre Lovemakers. The term was taken up shortly after by the Myron Kosloff title Dominatrix (with art by Eric Stanton) in 1968, and entered more popular mainstream knowledge following the 1976 film Dominatrix Without Mercy. Although the term dominatrix was not used, the classic example in literature of the female dominant-male submissive relationship is portrayed in the 1870 novella Venus in Furs by Austrian writer Leopold von Sacher-Masoch. The term masochism was later derived from the author's name by Richard von Krafft-Ebing in the latter's 1886 forensic study Psychopathia Sexualis. History The history of the dominatrix is argued to date back to rituals of the Goddess Inanna (or Ishtar as she was known in Akkadian), in ancient Mesopotamia. Ancient cuneiform texts consisting of "Hymns to Inanna" have been cited as examples of the archetype of powerful, sexual female displaying dominating behaviors and forcing Gods and men into submission to her. Archaeologist and historian Anne O. Nomis notes that Inanna's rituals included cross-dressing of cult personnel, and rituals "imbued with pain and ecstasy, bringing about initiation and journeys of altered consciousness; punishment, moaning, ecstasy, lament and song, participants exhausting themselves with weeping and grief." The tale of Phyllis and Aristotle, which became popular and gained numerous versions from the 12th century onwards, tells the story of a dominant woman who seduced and dominated the male intellect of the greatest philosopher. In the story, Phyllis forces Aristotle to kneel on the ground so that she rides on his back while whipping and verbally humiliating him. The profession appears to have originated as a specialization within brothels, before becoming its own unique craft. As far back as the 1590s, flagellation within an erotic setting is recorded. The profession features in erotic prints of the era, such as the British Museum mezzotint "The Cully Flaug'd" (c. 1674–1702), and in accounts of forbidden books which record the flogging schools and the activities practised. Within the 18th century, female "Birch Disciplinarians" advertised their services in a book masked as a collection of lectures or theatrical plays, entitled "Fashionable Lectures" (c. 1761). This included the names of 57 women, some actresses and courtesans, who catered to birch discipline fantasies, keeping a room with rods and cat o' nine tails, and charging their clients a Guinea for a "lecture". The 19th century is characterised by what historian Anne O. Nomis characterises as the "Golden Age of the Governess". No fewer than twenty establishments were documented as having existed by the 1840s, supported entirely by flagellation practices and known as "Houses of Discipline" distinct from brothels. Amongst the well-known "dominatrix governesses" were Mrs Chalmers, Mrs Noyeau, the late Mrs Jones of Hertford Street and London Street, the late Mrs Theresa Berkley, Bessy Burgess of York Square and Mrs Pyree of Burton Cres. The most famous of these Governess "female flagellants" was Theresa Berkley, who operated her establishment on Charlotte Street in the central London district of Marylebone. She is recorded to have used implements such as whips, canes and birches, to chastise and punish her male clients, as well as the Berkley Horse, a specially designed flogging machine, and a pulley suspension system for lifting them off the floor. Such historical use of corporal punishment and suspension, in a setting of domination roleplay, connects very closely to the practices of modern-day professional dominatrices. The "bizarre style" (as it came to be called) of leather catsuits, claws, tail whips, and latex rubber only came about in the 20th century, initially within commercial fetish photography, and taken up by dominatrices. Within the mid-20th century, dominatrices operated in a very discreet and underground manner, which has made them difficult to trace within the historical record. A few photographs still exist of the women who ran their domination businesses in London, New York, The Hague and Hamburg's Herbertstraße, predominantly in sepia and black-and-white photographs, and scans from magazine articles, copied and re-copied. Amongst these were Miss Doreen of London who was acquainted with John Sutcliffe of AtomAge fame, whose clients reportedly included Britain's top politicians and businessmen. In New York, the dominatrix Anne Laurence was known within the underground circle of acquaintances during the 1950s, with Monique Von Cleef arriving in the early 1960s, and hitting national headlines when her home was raided by police detectives on 22 December 1965. Von Cleef went on to set up her "House of Pain" in The Hague in the 1970s, which became one of the world capitals for dominatrices, reportedly with visiting lawyers, ambassadors, diplomats and politicians. Domenica Niehoff worked as a dominatrix in Hamburg and appeared on talk shows on German television from the 1970s onwards, campaigning for sex workers' rights. Mistress Raven, founder and manager of Pandora's Box, one of New York's best known BDSM studios, was featured in Nick Broomfield's 1996 documentary film Fetishes. Professional vs. personal The term dominatrix is mostly used to describe a female professional dominant (or "pro-domme") who is paid to engage in BDSM play with a submissive. Professional dominatrices are not prostitutes, despite the sensual and erotic interactions she has. An appointment or roleplay is referred to as a "session", and is often conducted in a dedicated professional play space which has been set up with specialist equipment, known as a "dungeon". Sessions may also be conducted remotely by letter or telephone, or in the contemporary era of technological connectivity by email, online chat or platforms such as OnlyFans. Most, but not all, clients of female professional dominants are men. Male professional dominants also exist, catering predominantly to the gay male market. Women who engage in female domination typically promote and title themselves under the terms "dominatrix", "mistress", "lady", "madame", "herrin" or "goddess". In a study of German dominatrices, Andrew Wilson said that the trend for dominatrices choosing names aimed at creating and maintaining an atmosphere in which class, femininity and mystery are key elements of their self-constructed identity. Some professional dominatrices set minimum age limits for their clients. Popular requests from clients are for dungeon play including bondage, spanking and cock and ball torture, or for medical play using hoods, gas masks and urethral sounding. Verbal erotic humiliation, such as small penis humiliation, is also popular. It is not unusual for a dominatrix to consider her profession different from that of an escort and not perform tie and tease or "happy endings". Typically professional dominatrices do not have sexual intercourse with their clients, do not become naked with their clients and do not allow their clients to touch them. The Canadian dominatrix Terri-Jean Bedford, who was one of three women who initiated an application in the Ontario Superior Court seeking invalidation of Canada's laws regarding brothels, sought to differentiate for clarity her occupation as a dominatrix rather than a prostitute to the media, due to frequent misunderstanding and conflation by the public of the two terms. That being said, it is now generally accepted that a professional dominatrix is a sex worker, and many of the acts conducted during a session may be interpreted as equally sexual to the participants. While dominatrices come from many different backgrounds, it has been shown that a considerable number are well-educated. Research into US dominatrices published in 2012 indicated that 39% of the sample studied had received some sort of graduate training. A 1985 study suggested that about 30 percent of participants in BDSM subculture were female. A 1994 report indicated that around a quarter of the women who took part in BDSM subculture did so professionally. In a 1995 study of Internet discussion group messages, the preference for the dominant-initiator role was expressed by 11% of messages by heterosexual women, compared to 71% of messages by heterosexual men. Professional dominatrices can be seen advertising their services online and in print publications which carry erotic services advertising, such as contact magazines and fetish magazines that specialise in female domination. The precise number of women actively offering professional domination services is unknown. Most professional dominatrices practice in large metropolitan cities such as New York, Los Angeles, and London, with as many as 200 women working as dominatrices in Los Angeles. Professional dominatrices may take pride or differentiation in their psychological insight into their clients' fetishes and desires, as well as their technical ability to perform complex BDSM practices, such as Japanese shibari, head-scissoring, and other forms of bondage, suspension, torture roleplay, and corporal punishment, and other such practices which require a high degree of knowledge and competency to safely oversee. From a sociological point of view, Danielle Lindemann has stated the "embattled purity regime" in which many pro-dommes emphasise their specialist knowledge and professional skills, while distancing themselves from economic criteria for success, in a way which is comparable to avant-garde artists. Some dominatrices practice financial domination, or findom, a fetish in which a submissive is aroused by sending money or gifts to a dominatrix at her instruction. In some cases the dominatrix is given control of the submissive's finances or a "blackmail" scenario is acted out. In the majority of cases the dominatrix and the submissive do not physically meet. The interactions are typically performed using the Internet, which is also where such services are advertised. Findom was originally a niche service that a traditional dominatrix would offer, but it has become popular with less-experienced online practitioners. To differentiate women who identify as a dominatrix but do not offer paid services, non-professional dominants are occasionally referred to as a "lifestyle" dominatrix or Mistress. The term "lifestyle" to signify BDSM is occasionally a contention topic in the BDSM community and that some dominatrices may dislike the term. Some professional dominatrices are also "lifestyle" dominatrices - i.e., in addition to paid sessions with submissive clients they engage in unpaid recreational sessions or may incorporate power exchange within their own private lives and relationships. However, the term has fallen out of general usage with respect to women who are dominant in their private relationships, and has taken on more and more, the connotation of "professional." Notable dominatrices Catherine Robbe-Grillet is a lifestyle dominatrix. Born in Paris on September 24, 1930, she then became France's most famous lifestyle dominatrix. She is also a writer and actress, the widow of nouveau roman pioneer and sadist Alain Robbe-Grillet. She currently lives with Beverly Charpentier, a 51-year-old South African woman who is her submissive companion. Although being such a famous dominatrix, she has never accepted payment for her "ceremonies". She's quoted as saying "If someone pays, then they are in charge. I need to remain free. It is important that everyone involved knows that I do it solely for my pleasure." "Catherine is my secret garden,” Charpentier says. "I have given myself to her, body and soul. She does whatever she wants, whenever she wants, with either or both, according to her pleasure—and her pleasure is also my pleasure." Robbe-Grillet has been criticised for writing about S/M stories. She identifies as a “pro-sex feminist” and “the kind of feminist who supports the right of any man or women to work as a prostitute, if it is their free choice.” Simone Justice is a BDSM educator who teaches Dommecraft based on her experience as a dominatrix and psychotherapist. Miss Lila Sage is an international dominatrix, hypnotherapist, and immersive experience producer. Sage is the creator and host of Fétische, a live theatrical experience and “BDSM tasting”. Imagery The dominatrix is a symbolic female archetype. In popular culture, the conception of the dominatrix is generally associated with specialized clothing and props used to signify her role as a strong, dominant, sexualised woman. This role is linked to but distinct from images of sexual fetish. During the twentieth century, dominatrix imagery was developed by the work of a number of artists including the costume designer and photographer Charles Guyette, the publisher and film director Irving Klaw, and the illustrators Eric Stanton and Gene Bilbrew who drew for the fetish magazine Exotique. One of the garments associated with the dominatrix is the catsuit. The black leather female catsuit entered dominant fetish culture in the 1950s with the AtomAge magazine and its connections to fetish fashion designer John Sutcliffe. Its appearance in mainstream culture began when catsuits were worn by strong female protagonists in popular 1960s TV programs like The Avengers and by comic super-heroines such as Catwoman. The catsuit represented the independence of a woman capable of "kick-ass" moves and action, giving complete freedom of movement. At the same time, the one-piece catsuit accentuated and exaggerated the sexualized female form, providing visual access to a woman's body, while simultaneously obstructing physical penetrative access. "You can look but you can't touch" is the message, which plays upon the BDSM practice known as "tease and denial". Another common image is that of a dominatrix wearing thigh-high boots in leather or shiny PVC, which have long held a fetishistic status and are sometimes called kinky boots, along with very high stiletto heels. Fishnet stockings, seamed hosiery, stockings and garter belts (suspenders) are also used in the representation and attire of dominatrices, to emphasize the form and length of the legs with erotic connotation. Tight leather corsets are another popular dominatrix garment. Gloves, whether long opera gloves or fingerless gloves, are often a further accessory to emphasize the feminine role. Neck corsets are also sometimes worn. Dominatrices frequently wear clothing made from fetish fashion materials. Examples include PVC clothing, latex clothing and garments drawn from the leather subculture. In some cases elements of dominatrix attire, such as leather boots and peaked cap, are drawn from Nazi chic, particularly the black SS officer's uniform which has been widely adopted and fetishized by underground gay and BDSM lifestyle groups to satisfy a uniform fetish. A dominatrix often uses strong, dominant body language which is comparable to dominant posturing in the animal world. The props she brandishes signify her role as dominatrix, such as a flogger, whip or riding crop as illustrated in the artwork of Bruno Zach in the early 20th century. Another often-depicted characteristic of the dominatrix character is of smoking, either of tobacco cigarettes or cannabis products. While smoking tobacco has been in rapid decline worldwide, depiction of it in BDSM literature and media is increasing, as the negative image of smoking reinforces the "bad girl" stereotype associated with a dominatrix. Practicing professional dominatrices may draw their attire from the conventional imagery associated with the role, or adapt it to create their own individual style. There is a potential conflict between meeting conventional expectations and a desire for dominant independent self-expression. Some contemporary dominatrices draw upon an eclectic range of strong female archetypes, including the goddess, the female superheroine, the femme fatale, the priestess, the empress, the queen, the governess and the KGB secret agent. In literature Themes associated with the dominatrix character have appeared in literature since the 10th century. Canoness Hroswitha, in her manuscript Maria, uses the word Dominatrix for the main character. She is portrayed as an unattainable woman who is too good for any of the men who are in love with her. The theme of "the unattainable woman" has been used thoroughly in medieval literature as well, although it differs from a dominatrix. Medieval themes surrounding the unattainable woman concerned issues of social classes and structure, with chivalry being a prime part of a relationship between a man and woman. There are some exceptions to this trend during medieval times. In Cervantes’ Don Quixote (1605), Celadon is imprisoned by Galatea. Celadon complains that his “mistress . . . Galatea keeps me on such a short leash”. In Robert Herrick's Hesperides, a book of poems published in 1648, . there were three revealing poems An Hymne to Love, The Dream, and To Love which showcase masculine longing for domination, restraint, discipline. In Ulysses by James Joyce, the character Leopold Bloom has many fantasies of submission to a lady and to receive whippings by her. In popular culture Depictions of dominatrices in film and television are common, almost always featuring a professional dominatrix. Depictions of dominatrices in popular culture include: Euphoria is a TV series in which Kat Hernandez, portrayed by Barbie Ferreira, moonlights as a dominatrix. She does it to take control of her sexuality, and later it turns into a source of income for her. She has to hide this part of her life from her friends and family due to societal shame and ignorance. Bonding is a TV series in which Tiffany "Tiff" Chester, portrayed by Zoe Levin, is a psychology student by day, and dominatrix "Mistress May" by night. Many viewers have not liked the depictions of a dominatrix in the first season, often citing it as "inaccurate". However, they hired a consultant that worked as dominatrix for 15 years to assist them in the script for the second season and fix the inaccuracies. Exit to Eden is a film based on a novel of the same name with a dominatrix-based plot. It was generally panned by critics, who expressed disappointment and confusion about the combination of the original story and the comedic elements. See also BDSM in culture and media Body worship Chastity belt (BDSM) Domination and submission Feminization (activity) Latex and PVC fetishism Male dominance (BDSM) Pegging (sexual practice) Sadism and masochism in fiction Session wrestler Books Tomi Ungerer: Schutzengel der Hölle, Diogenes 1986, Annick Foucault, Françoise maîtresse, Gallimard 1994, Shawna Kenney, I Was a Teenage Dominatrix: a Memoir, Last Gasp 2002, Melissa Febos, Whip Smart, St. Martin's Press 2010, Susan Winemaker Concertina: the Life and Loves of a Dominatrix, Pocket Books 2007, Evangelline Dubois: How To Be A Domme: the Practical Guide to Becoming a Professional Dominatrix, 2011 Anthony McGee: How to be Dominated like a Man, McGee 2013, Anne O. Nomis: The History & Arts of the Dominatrix Mary Egan Publishing & Anna Nomis Ltd 2013, References Bibliography External links BDSM terminology Women and sexuality Gender roles Gendered occupations
8752
https://en.wikipedia.org/wiki/Flag%20of%20Denmark
Flag of Denmark
The national flag of Denmark (, ) is red with a white Scandinavian cross that extends to the edges of the flag; the vertical part of the cross is shifted to the hoist side. A banner with a white-on-red cross is attested as having been used by the kings of Denmark since the 14th century. An origin legend with considerable impact on Danish national historiography connects the introduction of the flag to the Battle of Lindanise of 1219. The elongated Nordic cross reflects the use as a maritime flag in the 18th century. The flag became popular as a national flag in the early 16th century. Its private use was outlawed in 1834, and again permitted in a regulation of 1854. The flag holds the world record of being the oldest continuously used national flag. Description In 1748, a regulation defined the correct lengths of the two last fields in the flag as . In May 1893 a new regulation to all chiefs of police, stated that the police should not intervene, if the two last fields in the flag were longer than as long as these did not exceed , and provided that this was the only rule violated. This regulation is still in effect today and thus the legal proportions of the National flag is today 3:1:3 in width and anywhere between 3:1:4.5 and 3:1:5.25 in length. No official definition of "Dannebrog rød" exists. The private company Dansk Standard, regulation number 359 (2005), defines the red colour of the flag as Pantone 186c. History 1219 origin legend A tradition recorded in the 16th century traces the origin of the flag to the campaigns of Valdemar II of Denmark (r. 1202–1241). The oldest of them is in Christiern Pedersen's "Danske Krønike", which is a sequel to Saxo's Gesta Danorum, written 1520–23. Here, the flag falls from the sky during a Russian campaign of Valdemar's. Pedersen also states that the very same flag was taken into exile by Eric of Pomerania in 1440. The second source is the writing of the Franciscan friar Petrus Olai (Peder Olsen) of Roskilde (died c. 1570). This record describes a battle in 1208 near Fellin during the Estonia campaign of King Valdemar II. The Danes were all but defeated when a lamb-skin banner depicting a white cross fell from the sky and miraculously led to a Danish victory. In a third account, also by Petrus Olai, in Danmarks Tolv Herligheder ("Twelve Splendours of Denmark"), in splendour number nine, the same story is re-told almost verbatim, with a paragraph inserted correcting the year to 1219. Now, the flag is falling from the sky in the Battle of Lindanise, also known as the Battle of Valdemar (Danish: Volmerslaget), near Lindanise (Tallinn) in Estonia, of 15 June 1219. It is this third account that has been the most influential, and some historians have treated it as the primary account taken from a (lost) source dating to the first half of the 15th century. In Olai's account, the battle was going badly, and defeat seemed imminent. However the Danish Bishop Anders Sunesen, on top of a hill overlooking the battle, prayed to God with his arms raised, and the Danes moved closer to victory the more he prayed. When he raised his arms the Danes surged forward but when his arms grew tired and he let them fall, the Estonians turned the Danes back. Attendants rushed forward to raise his arms once again and the Danes again surged forward. But for a second time he grew so tired that he dropped his arms and the Danes again lost the advantage, and were moving closer to defeat. He needed two soldiers to keep his hands up. When the Danes were about to lose, 'Dannebrog' miraculously fell from the sky and the King took it, showed it to the troops, their hearts were filled with courage, and the Danes won the battle. The possible historical nucleus behind this origin legend was extensively discussed by Danish historians in the 19th to 20th centuries. Jørgensen (1875) argues that Bishop Theoderich was the original instigator of the 1218 inquiry from Bishop Albert of Buxhoeveden to King Valdemar II which led to the Danish participation in the Baltic crusades. Jørgensen speculates that Bishop Theoderich might have carried the Knight Hospitaller's banner in the 1219 battle and that "the enemy thought this was the King's symbol and mistakenly stormed Bishop Theoderich tent. He claims that the origin of the legend of the falling flag comes from this confusion in the battle." The Danish church-historian L. P. Fabricius (1934) ascribes the origin to the 1208 Battle of Fellin, not the Battle of Lindanise in 1219, based on the earliest source available about the story. Fabricius speculated that it might have been Archbishop Andreas Sunesøn's personal ecclesiastical banner or perhaps even the flag of Archbishop Absalon, under whose initiative and supervision several smaller crusades had already been conducted in Estonia. The banner would then already be known in Estonia. Fabricius repeats Jørgensen's idea about the flag being planted in front of Bishop Theodorik's tent, which the enemy mistakenly attacked believing it to be the tent of the King. A different theory is briefly discussed by Fabricius and elaborated more by Helge Bruhn (1949). Bruhn interprets the story in the context of the widespread tradition of the miraculous appearance of crosses in the sky in Christian legend, specifically comparing such an event attributed to a battle of 10 September 1217 near Alcazar, where it is said that a golden cross on white appeared in the sky, to bring victory to the Christians. In Swedish national historiography of the 18th century, there is a tale paralleling the Danish legend, in which a golden cross appears in the blue sky during a Swedish battle in Finland in 1157. Middle Ages The white-on-red cross emblem originates in the age of the Crusades. In the 12th century, it was also used as war flag by the Holy Roman Empire. In the Gelre Armorial, dated 1340–1370, such a banner is shown alongside the coat of arms of the king of Denmark. This is the earliest known undisputed colour rendering of the Dannebrog. At about the same time, Valdemar IV of Denmark displays a cross in his coat of arms on his Danælog seal (Rettertingsseglet, dated 1356). The image from the Armorial Gelre is nearly identical to an image found in a 15th-century coats of arms book now located in the National Archives of Sweden (Riksarkivet). The seal of Eric of Pomerania (1398) as king of the Kalmar union displays the arms of Denmark chief dexter, three lions. In this version, the lions are holding a Dannebrog banner. The reason why the kings of Denmark in the 14th century begin displaying the cross banner in their coats of arms is unknown. Caspar Paludan-Müller (1873) suggested that it may reflect a banner sent by the pope to the Danish king in support of the Baltic countries. Adolf Ditlev Jørgensen (1875) identifies the banner as that of the Knights Hospitaller, which order had a presence in Denmark from the later 12th century. Several coins, seals and images exist, both foreign and domestic, from the 13th to 15th centuries and even earlier, showing heraldic designs similar to Dannebrog, alongside the royal coat of arms (three blue lions on a golden shield.) There is a record suggesting that the Danish army had a "chief banner" (hoffuitbanner) in the early 16th century. Such a banner is mentioned in 1570 by Niels Hemmingsøn in the context of a 1520 battle between Danes and Swedes near Uppsala as nearly captured by the Swedes but saved by the heroic actions of the banner-carrier Mogens Gyldenstierne and Peder Skram. The legend attributing the miraculous origin of the flag to the campaigns of Valdemar II of Denmark (r. 1202–1241) were recorded by Christiern Pedersen and Petrus Olai in the 1520s. Hans Svaning's History of King Hans from 1558 to 1559 and Johan Rantzau's History about the Last Dithmarschen War, from 1569, record the further fate of the Danish hoffuitbanner: According to this tradition, the original flag from the Battle of Lindanise was used in the small campaign of 1500 when King Hans tried to conquer Dithmarschen (in western Holstein in north Germany). The flag was lost in a devastating defeat at the Battle of Hemmingstedt on 17 February 1500. In 1559, King Frederik II recaptured it during his own Dithmarschen campaign. In 1576, the son of Johan Rantzau, Henrik Rantzau, also writes about the war and the fate of the flag, noting that the flag was in a poor condition when returned. He records that the flag after its return to Denmark was placed in the cathedral in Slesvig. Slesvig historian Ulrik Petersen (1656–1735) confirms the presence of such a banner in the cathedral in the early 17th century, and records that it had crumbled away by about 1660. Contemporary records describing the battle of Hemmingstedt make no reference to the loss of the original Dannebrog, although the capitulation state that all Danish banners lost in 1500 were to be returned. In a letter dated 22 February 1500 to Oluf Stigsøn, King John describes the battle, but does not mention the loss of an important flag. In fact, the entire letter gives the impression that the lost battle was of limited importance. In 1598, Neocorus wrote that the banner captured in 1500 was brought to the church in Wöhrden and hung there for the next 59 years, until it was returned to the Danes as part of the peace settlement in 1559. Modern period Used as maritime flag since the 16th century, the Dannebrog was introduced as a regimental flag in the Danish army in 1785, and for the militia (landeværn) in 1801. From 1842, it was used as the flag of the entire army. During the first half of the 19th century, in parallel to the development of Romantic nationalism in other European countries, the military flag increasingly came to be seen as representing the nation itself. Poems of this period invoking the Dannebrog were written by B.S. Ingemann, N.F.S. Grundtvig, Oehlenschläger, Chr. Winther and H.C. Andersen. By the 1830s, the military flag had become popular as an unofficial national flag, and its use by private citizens was outlawed in a circular enacted on 7 January 1834. In the national enthusiasm sparked by the First Schleswig War during 1848–1850, the flag was still very widely displayed, and the prohibition of private use was repealed in a regulation of 7 July 1854, for the first time allowing Danish citizens to display the Dannebrog (but not the swallow-tailed Splitflag variant). Special permission to use the Splitflag was given to individual institutions and private companies, especially after 1870. In 1886, the war ministry introduced a regulation indicating that the flag should be flown from military buildings on thirteen specified days, including royal birthdays, the date of the signing of the Constitution of 5 June 1849 and on days of remembrance for military battles. In 1913, the naval ministry issued its own list of flag days. On 10 April 1915, the hoisting of any other flag on Danish soil was prohibited. From 1939 until 2012, the yearbook Hvem-Hvad-Hvor included a list of flag days. As of 2019 flag days can be viewed at the "Ministry of Justice (Justitsministeriet)" as well as "The Denmark Society (Danmarks-Samfundet)". Variants Maritime flag and corresponding Kingdom flag The size and shape of the civil ensign ("Koffardiflaget") for merchant ships is given in the regulation of 11 June 1748, which says: A red flag with a white cross with no split end. The white cross must be of the flag's height. The two first fields must be square in form and the two outer fields must be lengths of those. The proportions are thus: 3:1:3 vertically and 3:1:4.5 horizontally. This definition are the absolute proportions for the Danish national flag to this day, for both the civil version of the flag ("Stutflaget"), as well as the merchant flag ("Handelsflaget"). The civil flag and the merchant flag are identical in colour and design. A regulation passed in 1758 required Danish ships sailing in the Mediterranean to carry the royal cypher in the center of the flag in order to distinguish them from Maltese ships, due to the similarity of the flag of the Sovereign Military Order of Malta. According to the regulation of 11 June 1748 the colour was simply red, which is common known today as "Dannebrog rød" ("Dannebrog red"). The only available red fabric dye in 1748 was made of madder root, which can be processed to produce a brilliant red dye (used historically for British soldiers' jackets). A regulation of 4 May 1927 once again states that Danish merchant ships have to fly flags according to the regulation of 1748. The first regulation regarding the Splitflag dates from 27 March 1630, in which King Christian IV orders that Norwegian Defensionskibe (armed merchants ships) may only use the Splitflag if they are in Danish war service. In 1685 an order, distributed to a number of cities in Slesvig, states that all ships must carry the Danish flag, and in 1690 all merchant ships are forbidden to use the Splitflag, with the exception of ships sailing in the East Indies, West Indies and along the coast of Africa. In 1741 it is confirmed that the regulation of 1690 is still very much in effect; that merchant ships may not use the Splitflag. At the same time the Danish East India Company is allowed to fly the Splitflag when past the equator. Some confusion must have existed regarding the Splitflag. In 1696 the Admiralty presented the King with a proposal for a standard regulating both size and shape of the Splitflag. In the same year a royal resolution defines the proportions of the Splitflag, which in this resolution is called Kongeflaget (the King's flag), as follows: The cross must be of the flags height. The two first fields must be square in form with the sides three times the cross width. The two outer fields are rectangular and the length of the square fields. The tails are the length of the flag. These numbers are the basic for the Splitflag, or Orlogsflag, today, though the numbers have been slightly altered. The term Orlogsflag dates from 1806 and denotes use in the Danish Navy. From about 1750 to the early 19th century, a number of ships and companies which the government has interests in, received approval to use the Splitflag. In the royal resolution of 25 October 1939 for the Danish Navy, it is stated that the Orlogsflag is a Splitflag with a deep red ("dybrød") or madder red ("kraprød") colour. Like the National flag, no nuance is given, but in modern days this is given as 195U. Furthermore, the size and shape is corrected in this resolution to be: "The cross must be of the flag's height. The two first fields must be square in form with the height of of the flag's height. The two outer fields are rectangular and the length of the square fields. The tails are the length of the rectangular fields". Thus, if compared to the standard of 1696, both the rectangular fields and the tails have decreased in size. The Splitflag and Orlogsflag have similar shapes but different sizes and shades of red. Legally, they are two different flags. The Splitflag is a Danish flag ending in a swallow-tail, it is Dannebrog red, and is used on land. The Orlogsflag is an elongated Splitflag with a deeper red colour and is only used on sea. The Orlogsflag with no markings, may only be used by the Royal Danish Navy. There are though a few exceptions to this. A few institutions have been allowed to fly the clean Orlogsflag. The same flag with markings has been approved for a few dozen companies and institutions over the years. Furthermore, the Orlogsflag is only described as such if it has no additional markings. Any swallow-tail flag, no matter the color, is called a Splitflag provided it bears additional markings. Royal standards Monarch The current version of the royal standard was introduced on 16 November 1972 when the Queen adopted a new version of her personal coat of arms. The royal standard is the flag of Denmark with a swallow-tail and charged with the monarch's coat of arms set in a white square. The centre square is 32 parts in a flag with the ratio 56:107. Other members of the royal family Other flags in the Kingdom of Denmark Greenland and the Faroe Islands are additional autonomous territories within the Kingdom of Denmark. They have their own official flags. Some areas in Denmark have unofficial flags, listed below. The regional flags of Bornholm and Ærø are known to be in active use. The flags of Vendsyssel (Vendelbrog) and the Jutlandic flag ("Den jyske fane") are obscure. None of these flags have legal recognition in Denmark, and are officially considered to be "fantasy flags". Denmark reserves official recognition to official flags and regional flags (områdeflag) from other jurisdictions. See also Flag of Greenland Flag of the Faroe Islands List of Danish flags Nordic Cross flag Raven banner Flag of the Sovereign Military Order of Malta Flag of Savoy Danish Protest Pig, a breed of pig bred to look like the Danish flag. Dannebrog Island, an island off the coast of southern Greenland. Dannebrog Islands, a chain of islands along the Antarctic Peninsula. Dannebrog, Nebraska, a village in the United States of America founded by Danish settlers and named after the flag. References General references Danmarks-Samfundet – several rules and customs about the use of Dannebrog Dannebrog, Helga Bruhn, Forlaget Jespersen og Pios, Copenhagen 1949 Danebrog – Danmarks Palladium, E. D. Lund, Forlaget H. Hagerups, Copenhagen 1919 Dannebrog – Vort Flag, Lieutenant Colonel Thaulow, Forlaget Codan, Copenhagen 1943 DS 359:2005 'Flagdug', Dansk Standard, 2005 External links Danish flag legendary birthplace in Estonia National symbols of Denmark Denmark Denmark Denmark Articles containing video clips Denmark
8767
https://en.wikipedia.org/wiki/Dragoon
Dragoon
Dragoons were originally a class of mounted infantry, who used horses for mobility, but dismounted to fight on foot. From the early 17th century onward, dragoons were increasingly also employed as conventional cavalry and trained for combat with swords and firearms from horseback. While their use goes back to the late 16th century, dragoon regiments were established in most European armies during the 17th and early 18th centuries; they provided greater mobility than regular infantry but were far less expensive than cavalry. The name reputedly derives from a type of firearm, called a dragon, which was a handgun version of a blunderbuss, carried by dragoons of the French Army. The title has been retained in modern times by a number of armoured or ceremonial mounted regiments. Origins and name The establishment of dragoons evolved from the practice of sometimes transporting infantry by horse when speed of movement was needed. In 1552, Alexander Farnese, Duke of Parma mounted several companies of infantry on pack horses to achieve surprise, another example being that used by Louis of Nassau in 1572 during operations near Mons in Hainaut, when 500 infantry were transported this way. It is also suggested the first dragoons were raised by the Marshal de Brissac in 1600. According to old German literature, dragoons were invented by Count Ernst von Mansfeld, one of the greatest German military commanders, in the early 1620s. There are other instances of mounted infantry predating this. However Mansfeld, who had learned his profession in Hungary and the Netherlands, often used horses to make his foot troops more mobile, creating what was called an "armée volante" (French for flying army). During the Spanish Conquest of Peru in the 16th century, conquistadors fought on horse with arquebuses, prefiguring the origin of European dragoons. The name possibly derives from an early weapon, a short wheellock, called a dragon because its muzzle was decorated with a dragon's head. The practice comes from a time when all gunpowder weapons had distinctive names, including the culverin, serpentine, falcon, falconet, etc. It is also sometimes claimed a galloping infantryman with his loose coat and the burning match resembled a dragon. It has also been suggested that the name derives from the German "tragen" or the Dutch "dragen", both being the verb "to carry" in their respective languages. Howard Reid claims the name and role descend from the Latin Draconarius. Use as a verb Dragoon is occasionally used as a verb to mean to subjugate or persecute by the imposition of troops; and by extension to compel by any violent measures or threats. The term dates from 1689, at a time when dragoons were being used by the French monarchy to persecute Protestants, particularly by forcing Protestants to lodge a dragoon in their house to watch over them, at the householder's expense. Early history and role Early dragoons were not organized in squadrons or troops as were cavalry, but in companies like the infantry. Their commissioned and non-commissioned officers bore infantry ranks, while they used drummers, not buglers, to communicate orders on the battlefield. The flexibility of mounted infantry made dragoons a useful arm, especially when employed for what would now be termed "internal security" against smugglers or civil unrest, and on line of communication security duties. In Britain, companies of dragoons were first raised during the Wars of the Three Kingdoms and prior to 1645 served either as independent troops or were attached to cavalry units. When the New Model Army was first approved by Parliament in January 1645, it included ten regiments of cavalry, each with a company of dragoons attached. At the urging of Sir Thomas Fairfax, on 1 March they were formed into a separate unit of 1,000 men, commanded by Colonel John Okey, and played an important part at the Battle of Naseby in June. Supplied with inferior horses and more basic equipment, the dragoon regiments were cheaper to recruit and maintain than the expensive regiments of cavalry. When in the 17th century Gustav II Adolf introduced dragoons into the Swedish Army, he provided them with a sabre, an axe and a matchlock musket, using them as "labourers on horseback". Many of the European armies henceforth imitated this all-purpose set of weaponry. Dragoons of the late 17th and early 18th centuries retained strong links with infantry in appearance and equipment, differing mainly in the substitution of riding boots for shoes and the adoption of caps instead of broad-brimmed hats to enable muskets to be worn slung. A non-military use of dragoons was the 1681 Dragonnades, a policy instituted by Louis XIV to intimidate Huguenot families into either leaving France or re-converting to Catholicism by billeting ill-disciplined dragoons in Protestant households. While other categories of infantry and cavalry were also used, the mobility, flexibility and available numbers of the dragoon regiments made them particularly suitable for repressive work of this nature over a wide area. In the Spanish Army, Pedro de la Puente organized a body of dragoons in Innsbruck in 1635. In 1640, a tercio of a thousand dragoons armed with the arquebus was created in Spain. By the end of the 17th century, the Spanish Army had three tercios of dragoons in Spain, plus three in the Netherlands and three more in Milan. In 1704, the Spanish dragoons were reorganised into regiments by Philip V, as were the rest of the tercios. Dragoons were at a disadvantage when engaged against true cavalry, and constantly sought to improve their horsemanship, armament and social status. By the Seven Years' War in 1756, their primary role in most European armies had progressed from that of mounted infantry to that of heavy cavalry. They were sometimes described as 'medium' cavalry, midway between heavy/armoured and light/unarmoured regiments, though this was a classification that was rarely used at the time. Their original responsibilities for scouting and picket duty had passed to hussars and similar light cavalry corps in the French, Austrian, Prussian, and other armies. In the Imperial Russian Army, due to the availability of the Cossack troops, the dragoons were retained in their original role for much longer. An exception to the rule was the British Army, which from 1746 onward gradually redesignated all regiments of "Horse" (regular cavalry) as lower paid "Dragoons", as an economy measure. Starting in 1756, seven regiments of Light Dragoons were raised and trained in reconnaissance, skirmishing and other work requiring endurance in accordance with contemporary standards of light cavalry performance. The success of this new class of cavalry was such that another eight dragoon regiments were converted between 1768 and 1783. When this reorganisation was completed in 1788, the cavalry arm consisted of regular dragoons and seven units of Dragoon Guards. The designation of Dragoon Guards did not mean that these regiments (the former 2nd to 8th Horse) had become Household Troops, but simply that they had been given a more dignified title to compensate for the loss of pay and prestige. Towards the end of 1776, George Washington realized the need for a mounted branch of the American military. In January 1777 four regiments of light dragoons were raised. Short term enlistments were abandoned and the dragoons joined for three years, or "the war". They participated in most of the major engagements of the American War of Independence, including the Battles of White Plains, Trenton, Princeton, Brandywine, Germantown, Saratoga, Cowpens, and Monmouth, as well as the Yorktown campaign. 19th century During the Napoleonic Wars, dragoons generally assumed a cavalry role, though remaining a lighter class of mounted troops than the armored cuirassiers. Dragoons rode larger horses than the light cavalry and wielded straight, rather than curved swords. Emperor Napoleon often formed complete divisions out of his 30 dragoon regiments, while in 1811 six regiments were converted to Chevau-Legers Lanciers; they were often used in battle to break the enemy's main resistance. In northern and eastern Europe they were employed as heavy cavalry, while in the Iberian peninsula they also fulfilled the role of lighter cavalry, for example in anti-guerrilla operations. In 1809, French dragoons scored notable successes against Spanish armies at the Battle of Ocana and the Battle of Alba de Tormes. Post 1805, the 7th, 10th, 15th and 18th regiments of Light Dragoons of the British Army were re-designated as hussars and when the Napoleonic Wars ended in 1815, some became lancers. The transition from dragoons to hussars was however a slow one, affecting uniforms but not equipment and functions. Even titles often remained ambiguous until 1861, for example "18th King's Light Dragoons (Hussars)". The seven regiments of Dragoon Guards served as the heavy cavalry arm of the British Army, although unlike continental cuirassiers they carried no armour. Between 1816 and 1861, the other twenty-one cavalry regiments were either disbanded or rebadged as lancers or hussars. The creation of a unified German state in 1871 brought together the dragoon regiments of Prussia, Bavaria, Saxony, Mecklenburg, Oldenburg, Baden, Hesse, and Württemberg in a single numbered sequence, although historic distinctions of insignia and uniform were largely preserved. Two regiments of the Imperial Guard were designated as dragoons. The Austrian (later Austro-Hungarian) Army of the 19th century included six regiments of dragoons in 1836, classed as heavy cavalry for shock action, but in practice used as multi-purpose medium troops. After 1859 all but two Austrian dragoon regiments were converted to cuirassiers or disbanded. From 1868 to 1918 the Austro-Hungarian dragoons numbered 15 regiments. During the 18th century, Spain raised several regiments of dragoons to protect the northern provinces and borders of New Spain, the present-day states of California, Nevada, Colorado, Texas, Kansas, Arizona, Montana, North Dakota, and South Dakota. In mainland Spain, dragoons were reclassified as light cavalry from 1803 but remained among the elite units of the Spanish Colonial Army. A number of dragoon officers played a leading role in initiating the Mexican War of Independence in 1810, including Ignacio Allende, Juan Aldama and Agustin de Iturbide, who briefly served as Emperor of México from 1822 to 1823. Prior to the War of 1812 the U.S. organized the Regiment of Light Dragoons. For the war a second regiment was activated; that regiment was consolidated with the original regiment in 1814. The original regiment was consolidated with the Corps of Artillery in June 1815. In 1861, they were re-designated as the 1st and 2nd Cavalry but did not change their role or equipment, although the traditional orange uniform braiding of the dragoons was replaced by the standard yellow of the Cavalry branch. This marked the official end of dragoons in the U.S. Army in name, although certain modern units trace their origins back to the historic dragoon regiments. In practice, all US cavalry assumed a dragoon-like role, frequently using carbines and pistols, in addition to their swords. Between 1881 and 1907 all Russian cavalry (other than Cossacks and Imperial Guard regiments) were designated as dragoons, reflecting an emphasis on the double ability of dismounted action as well as the new cavalry tactics in their training and a growing acceptance of the impracticality of employing historical cavalry tactics against modern firepower. Upon the reinstatement of Uhlan and Hussar Regiments in 1907 their training pattern, as well as that of the Cuirassiers of the Guard, remained unchanged until the collapse of the Russian Imperial Army. In Japan, during the late 19th and early 20th century, dragoons were deployed in the same way as in other armies, but were dressed as hussars. 20th century In the period before 1914, there were still dragoon regiments in the British and French armies, as well as German, Russian, Austro-Hungarian, Canadian, Peruvian, Swiss, Norwegian, Swedish, Danish, and Spanish. Their uniforms varied greatly, lacking the characteristic features of hussar or lancer regiments. There were occasional reminders of their mounted infantry origins; the 28 dragoon regiments of the Imperial German Army wore the infantry Pickelhaube or spiked helmet, while British dragoons wore scarlet tunics for full dress while hussars and all but one of the lancer regiments wore dark blue. In other respects however dragoons had adopted the same tactics, roles and equipment as other branches of the cavalry and the distinction had become simply one of traditional titles. Weaponry had ceased to have a historic connection, with both the French and German dragoon regiments carrying lances during the early stages of World War I. The historic German, Russian and Austro-Hungarian dragoon regiments ceased to exist as distinct branches following the overthrow of the respective imperial regimes of these countries during 1917–18. The Spanish dragoons, which dated back to 1640, were reclassified as numbered cavalry regiments in 1931 as part of the army modernization policies of the Spanish Republic. The Australian Light Horse were similar to 18th-century dragoon regiments in some respects, being mounted infantry which normally fought on foot, their horses' purpose being transportation. They served during the Second Boer War and World War I. The Australian 4th Light Horse Brigade became famous for the Battle of Beersheba in 1917 where they charged on horseback using rifle bayonets in hand, since neither sabres or lances were part of their equipment. Later in the Palestine campaign Pattern 1908 Cavalry Swords were issued and used in the campaign leading to the fall of Damascus. Probably the last use of real dragoons (infantry on horseback) in combat was made by the Portuguese Army in the war in Angola during the 1960s and 1970s. In 1966, the Portuguese created an experimental horse platoon, to operate against the guerrillas in the high grass region of Eastern Angola, in which each soldier was armed with a G3 assault rifle for combat on foot and with an automatic pistol to fire from horseback. The troops on horseback were able to operate in difficult terrain unsuited to motor vehicles and had the advantage of being able to control the area around them, with a clear view over the grass that foot troops did not have. Moreover, these unconventional troops created a psychological impact on an enemy that was not used to facing horse troops, and thus had no training or strategy to deal with them. The experimental horse platoon was so successful that its entire parent battalion was transformed from an armored reconnaissance unit to a three-squadron horse battalion known as the "Dragoons of Angola". One of the typical operations carried out by the Dragoons of Angola, in cooperation with airmobile forces, consisted of the dragoons chasing the guerrillas and pushing them in one direction, with the airmobile troops being launched from helicopter in the enemy rear, trapping the enemy between the two forces. Dragoner rank Until 1918 Dragoner (en: dragoon) was the designation given to the lowest ranks in the dragoon regiments of the Austro-Hungarian and Imperial German Armies. The Dragoner rank, together with all other private ranks of the different branch of service, did belong to the so-called gemeine rank group. Modern dragoons Brazil The Guard of honour for the President of Brazil includes the 1st Guards Cavalry Regiment of the Brazilian Army, known as the "Dragões da Independência" (Independence Dragoons). The name was given in 1927 and refers to the fact that a detachment of dragoons escorted the Prince Royal of Portugal, Pedro I, at the time when he declared Brazilian independence from Portugal, on 7 September 1822. The Independence Dragoons wear 19th-century dress uniforms similar to those of the earlier Imperial Honor Guard, which are used as the regimental full dress uniform since 1927. The uniform was designed by Debret, in white and red, with plumed bronze helmets. The colors and pattern were influenced by the Austrian dragoons of the period, as the Brazilian Empress Consort was also an Austrian Archduchess. The color of the plumes varies according to rank. The Independence Dragoons are armed with lances and sabres, the latter only for the officers and the colour guard. The regiment was established in 1808 by the Prince Regent and future king of Portugal, John VI, with the duty of protecting the Portuguese royal family, which had sought refuge in Brazil during the Napoleonic wars. However dragoons had existed in Portugal since at least the early 18th century and, in 1719, units of this type of cavalry were sent to Brazil, initially to escort shipments of gold and diamonds and to guard the Viceroy who resided in Rio de Janeiro (1st Cavalry Regiment – Vice-Roy Guard Squadron). Later, they were also sent to the south to serve against the Spanish during frontier clashes. After the proclamation of Brazilian independence, the title of the regiment was changed to that of the Imperial Honor Guard, with the role of protecting the Imperial Family. The Guard was later disbanded by Emperor Peter II and would be recreated only later in the republican era. At the time of the Republic proclamation in 1889, horse No. 6 of the Imperial Honor Guard was ridden by the officer making the declaration of the end of Imperial rule, Second Lieutenant Eduardo José Barbosa. This is commemorated by the custom under which the horse having this number is used only by the commander of the modern regiment. Canada There are three dragoon regiments in the Canadian Army: The Royal Canadian Dragoons and two reserve regiments, the British Columbia Dragoons and the Saskatchewan Dragoons. The Royal Canadian Dragoons is the senior Armoured regiment in the Canadian Army. The regiment was authorized in 1883 as the Cavalry School Corps, being redesignated as Canadian Dragoons in 1892, adding the Royal designation the next year. The RCD has a history of fighting dismounted, serving in the Second Boer War in South Africa as mounted infantry, fighting as infantry with the 1st Canadian Division in Flanders in 1915–1916 and spending the majority of the regiment's service in the Italian Campaign 1944–1945 fighting dismounted. In 1994 when the regiment deployed to Bosnia as part of the United Nations Protection Force, B Squadron was employed as a mechanized infantry company. The current role of The Royal Canadian Dragoons is to provide Armour Reconnaissance support to 2 Canadian Mechanized Brigade Group (2 CMBG) as well as C Squadron RCD in Gagetown supporting the Combat Training Centre with Leopard 2A4 and 2A6 tanks. The Royal Canadian Mounted Police were accorded the formal status of a regiment of dragoons in 1921. The modern RCMP does not retain any military status however. Chile Founded as the Dragones de la Reina (Queen's Dragoons) in 1758 and later renamed the Dragoons of Chile in 1812, and then becoming the Carabineros de Chile in 1903. The Carabineros are the national police of Chile. The military counterpart, that of the 15th Reinforced Regiment "Dragoons" is now as of 2010 the 4th Armored Brigade "Chorrillos" based in Punta Arenas as the 6th Armored Cavalry Squadron "Dragoons", and form part of the 5th Army Division. Denmark The Royal Danish Army includes amongst its historic regiments the Jutish Dragoon Regiment, which was raised in 1670. France The modern French Army retains three dragoon regiments from the thirty-two in existence at the beginning of World War I: the 2nd, which is a nuclear, biological and chemical protection regiment, the 5th, an experimental Combined arms regiment, and the 13th (Special Reconnaissance). Lithuania Beginning in the 17th century, the mercenary army of the Grand Duchy of Lithuania included dragoon units. In the middle of the 17th century there were 1,660 dragoons in an army totaling 8,000 men. By the 18th century there were four regiments of dragoons. Lithuanian cavalrymen served in dragoon regiments of both the Russian and Prussian armies, after the Partitions of the Polish–Lithuanian Commonwealth. Between 1920 and 1924 and 1935–1940 the Lithuanian Army included the Third Dragoon Iron Wolf Regiment. The dragoons were the equivalent of the present-day Volunteer Forces. In modern Lithuania the Grand Duke Butigeidis Dragoon Battalion (Lithuanian: didžiojo kunigaikščio Butigeidžio dragūnų batalionas) is designated as dragoons, with a motorized infantry role. Mexico During the times of the Viceroyalty, regiments of dragoons (Dragon de cuera) were created to defend New Spain. They were mostly horsemen from the provinces. During and after the Mexican war of independence, dragons have played an important role in military conflicts within the country such as the Battle of Puebla during the French intervention, until the Mexican Revolution. One of the best-known military marches in Mexico is the Marcha Dragona (dragon march), the only one currently used by cavalry and motorized units during the parade on 16 September to commemorate Independence Day. Norway In the Norwegian Army during the early part of the 20th century, dragoons served in part as mounted troops, and in part on skis or bicycles (hjulryttere, meaning "wheel-riders"). Dragoons fought on horses, bicycles and skis against the German invasion in 1940. After World War II the dragoon regiments were reorganized as armoured reconnaissance units. "Dragon" is the rank of a compulsory service private cavalryman while enlisted (regular) cavalrymen have the same rank as infantrymen: "Grenader". Pakistan The Armoured Regiment "34 Lancers" of Pakistan Army Armoured Corps is also known as "Dragoons". Peru The Presidential Escort Life Guard Dragoons Regiment "Field Marshal Domingo Nieto", named after Field Marshal Domingo Nieto, of the President of the Republic of Perú were the traditional Guard of the Government Palace of Perú until 5 March 1987 and its disbandment in that year. However, by Ministerial Resolution No 139-2012/DE/EP of 2 February 2012 the restoration of the Cavalry Regiment "Marshal Domingo Nieto" as the official escort of the President of the Republic of Peru was announced. The main mission of the reestablished regiment was to guarantee the security of the President of the Republic and of the Government Palace. This regiment of dragoons was created in 1904 following the suggestion of a French military mission which undertook the reorganization of the Peruvian Army in 1896. The initial title of the unit was Cavalry Squadron "President's Escort". It was modelled on the French dragoons of the period. The unit was later renamed as the Cavalry Regiment "President's Escort" before receiving its current title in 1949. The Peruvian Dragoon Guard has throughout its existence worn French-style uniforms of black tunic and red breeches in winter and white coat and red breeches in summer, with red and white plumed bronze helmets with the coat of arms of Peru and golden or red epaulettes depending on rank. They retain their original armament of lances and sabres, until the 1980s rifles were used for dismounted drill. At 13:00 hours every day, the main esplanade in front of the Government Palace of Perú fronting Lima's Main Square serves as the stage for the changing of the guard, undertaken by members of the Presidential Life Guard Escort Dragoons, mounted or dismounted. While the dismounted changing is held on Mondays and Fridays, the mounted ceremony is held twice a month on a Sunday. Portugal The Portuguese Army still maintains two units which are descended from former regiments of dragoons. These are the 3rd Regiment of Cavalry (the former "Olivença Dragoons") and the 6th Regiment of Cavalry (the former "Chaves Dragoons"). Both regiments are, presently, armoured units. The Portuguese Rapid Reaction Brigade' Armoured Reconnaissance Squadron – a unit from the 3rd Regiment of Cavalry – is known as the "Paratroopers Dragoons". During the Portuguese Colonial War in the 1960s and the 1970s, the Portuguese Army created an experimental horse platoon, to combat the guerrillas in eastern Angola. This unit was soon augmented, becoming a group of three squadrons, known as the "Angola Dragoons". The Angola Dragoons operated as mounted infantry – like the original dragoons – each soldier being armed with a pistol to fire when on horseback and with an automatic rifle, to use when dismounted. A unit of the same type was being created in Mozambique when the war ended in 1974. Spain The Spanish Army began the training of a dragoon corps in 1635 under the direction of Pedro de la Puente at Innsbruck. In 1640 the first dragoon "tercio" was created, equipped with arquebuses and maces. The number of dragoon tercios was increased to nine by the end of the XVII century: three garrisoned in Spain, another three in the Netherlands and the remainder in Milan. The tercios were converted into a Regimental system, beginning in 1704. Philip V created several additional dragoon regiments to perform the functions of a police corps in the New World. Notable amongst those units were the leather-clad dragones de cuera. In 1803 the dragoon regiments were renamed as "caballería ligera" (light cavalry). By 1815 these units had been disbanded. Spain recreated its dragoons in the late nineteenth century. In 1930, three Spanish dragoon regiments were still in existence. Sweden In the Swedish Army, dragoons comprise the Military Police and Military Police Rangers. They also form the 13th Battalion of the Life Guards, which is a military police unit. The 13th (Dragoons) Battalion have roots that go back as far as 1523, making it one of the world's oldest military units still in service. Today, the only mounted units still retained by the Swedish Army are the two dragoons squadrons of the King's Guards Battalion of the Life Guards. Horses are used for ceremonial purposes only, most often when the dragoons take part in the changing of the guards at The Royal Palace in Stockholm. "Livdragon" is the rank of a private cavalryman. Switzerland Mounted dragoons existed in the Swiss Armed Forces until the early 1970s, when they were converted into Armoured Grenadiers units. The "Dragoner" had to prove he was able to keep a horse at home before entering the army. At the end of basic training they had to buy a horse at a reduced price from the army and to take it home together with equipment, uniform and weapon. In the "yearly repetition course" the dragoons served with their horses, often riding from home to the meeting point. The abolition of the dragoon units, believed to be the last non-ceremonial horse cavalry in Europe, was a contentious issue in Switzerland. On 5 December 1972 the Swiss National Council approved the measure by 91 votes, against 71 for retention. United Kingdom As of 2021, the British Army contains four regiments designated as dragoons: 1st The Queens Dragoon Guards, Royal Scots Dragoon Guards, the Royal Dragoon Guards, and the Light Dragoons. These perform a variety of reconnaissance and light support activities, including convoy protection, and operate the Jackal, the Coyote Reconnaissance Vehicle and the FV107 Scimitar light tank. United States The 1st and 2nd Battalion, 48th Infantry were mechanized infantry units assigned to the 3rd Armored Division (3AD) in West Germany during the Cold War. The unit crest of the 48th Infantry designated the unit as Dragoons, purely a traditional designation. The 1st Dragoons was reformed in the Vietnam War era as the 1st Squadron, 1st U.S. Cavalry. It served in the Iraq War and remains as the oldest cavalry unit, as well as the most decorated one, in the U.S. Army. Today's modern 1–1 Cavalry is a scout/attack unit, equipped with MRAPs, M3A3 Bradley CFVs, and Strykers. Another modern United States Army unit, informally known as the 2nd Dragoons, is the 2nd Cavalry Regiment. This unit was originally organized as the Second Regiment of Dragoons in 1836 and was renamed the Second Cavalry Regiment in 1861, being redesignated as the 2nd Armored Cavalry Regiment in 1948. The regiment is currently equipped with the Stryker family of wheeled fighting vehicles and was redesignated as the 2nd Stryker Cavalry Regiment in 2006. In 2011 the 2nd Dragoon regiment was redesignated as the 2nd Cavalry Regiment. The 2nd Cavalry Regiment has the distinction of being the longest continuously serving regiment in the United States Army. The 113th Army Band at Fort Knox is also officially nicknamed as "The Dragoons." This derives from its formation as the Band, First Regiment of Dragoons on 8 July 1840. Company D, 3rd Light Armored Reconnaissance Battalion of the United States Marine Corps, is nicknamed the "Dragoons". Their combat history includes Operation Iraqi Freedom and Operation Enduring Freedom from 2002 to 2013. See also Carabinier Cuirassier Dragonnades Gendarmerie Harquebusier Hussar Motorized infantry Reiter—Another type of pistol-armed cavalry Ulan Explanatory notes Citations General sources Further reading External links Full Napoleonic Cavalry: Dragoons, Cuirassiers Saskatchewan Dragoons (Canada) British Columbia Dragoons (Canada) First Regiment of Cavalry (USA) The Society of the Military Horse “Field Marshal Nieto” Regiment of Cavalry (Perú) Perú 1970: Changing of the Dragoon Guard Cavalry Dragoon Guards Light Dragoons Infantry Military equestrianism 18th- and 19th-century warrior types Obsolete occupations
8778
https://en.wikipedia.org/wiki/Daniel%20Ortega
Daniel Ortega
José Daniel Ortega Saavedra (; born 11 November 1945) is a Nicaraguan politician serving as President of Nicaragua since 2007. Previously, he was leader of Nicaragua from 1979 to 1990, first as Coordinator of the Junta of National Reconstruction (1979–1985) and then as President of Nicaragua (1985–1990). A leader in the Sandinista National Liberation Front (, FSLN), he implemented policies to achieve leftist reforms across Nicaragua. In later years, Ortega's previously left-wing radical politics moderated more and more, pursuing pro-business policies and even rapprochement with the Catholic Church, with the adoption of strong anti-abortion policies by his government in the 2000s, and adoption of strong religious rhetoric by the previously atheist Ortega. After the retirement of Fidel Castro in 2008, Ortega is one of the longest-serving non-royal rulers in the world and the longest serving non-royal leader in the Americas. Born into a working-class family, from an early age Ortega opposed Nicaragua's dictator Anastasio Somoza Debayle, and became involved in the underground movement against his government. Joining the Sandinistas as a student in 1963, Ortega became involved with urban resistance activities and was arrested and imprisoned in 1967. Ortega, like many political prisoners of the Somoza regime, was tortured and abused in jail. Upon release in 1974, he was exiled to Cuba, where he received training in guerrilla warfare from Fidel Castro's Marxist–Leninist government. Ortega and his brother Humberto formed the Insurrectionist, or Tercerista (Third Way) faction, which united the FSLN and sparked the mass uprisings of 1978–1979, culminating in the Nicaraguan Revolution. After the overthrow and exile of Somoza Debayle's government, Ortega became leader of the ruling multi-partisan Junta of National Reconstruction. In the 1984 Nicaraguan general election, Ortega won Nicaragua's disputed presidential election with over 60% of the vote as the FSLN's candidate. A Marxist–Leninist, Ortega pursued a program of nationalization, land reform, wealth redistribution, and the Nicaraguan Literacy Campaign during his first period in office. Ortega's relationship with the United States was never very cordial, as the US had long supported the Somoza family's dictatorship. Although the US initially supplied the ruined post-revolution Nicaragua with economic aid, relations quickly soured. His government was beset by violent opposition from US-backed rebels, best known as the Contras. This illegal intervention continued (albeit covertly) after Ortega's democratic election as president in 1984. Peace talks between five Central American heads of state in July 1987 led to the signing of the Central American Peace Accords, and the beginning of a roadmap to the end of the conflict. In 1988, the Contras first entered into peace talks with the Sandinista government, although the violence continued, as did their US support. Despite US opposition, disarmament of the Contras began in 1989. The US continued the economic embargo, promising to lift it if the Sandinistas were ousted in the election, providing financial support to the opposition candidate, and promising aid to Nicaragua should she be elected. After a difficult presidency marred by war and economic collapse, Ortega was defeated in the 1990 Nicaraguan general election by Violeta Chamorro. He continued to be an important figure in Nicaraguan opposition politics. Ortega was an unsuccessful candidate for president in 1996 and 2001 but won the 2006 Nicaraguan general election. In office, he made alliances with fellow Latin American socialists, such as Venezuelan President Hugo Chávez. Under Ortega's leadership, Nicaragua joined the Bolivarian Alliance for the Americas. His second administration became increasingly antidemocratic, alienating many of his former revolutionary allies, some of whom compared him to Somoza, who they had overthrown. In June 2018, Amnesty International and the Inter-American Commission on Human Rights of the Organization of American States reported that Ortega had engaged in a violent oppression campaign against protesters in response to the anti-Ortega 2018–2021 Nicaraguan protests. The violent crackdown during 2018 protests and subsequential decrease of civil liberties have led to massive waves of migration to Costa Rica, with over 30,000 Nicaraguans filing for asylum in that neighboring country. Repression against his political opponents increased in 2021. His government jailed many of his potential rivals in the 2021 Nicaraguan general election, including Cristiana Chamorro Barrios, daughter of former president Violeta Chamorro de Barrios. Ortega's government imprisoned others who opposed him, including former allies Dora Maria Tellez and Hugo Torres Jiménez. In August 2021, Nicaragua cancelled the operating permits of six US and European NGOs. Many critics of the Ortega government, including opposition leaders, journalists and members of civil society, fled the country in mid-2021. After his 2021 reelection, Joe Biden banned the president from entering the United States. Early life Ortega was born in La Libertad, department of Chontales, Nicaragua. His parents, Daniel Ortega Cerda and Lidia Saavedra, were opposed to the regime of Anastasio Somoza Debayle. His mother was imprisoned by Somoza's National Guard for being in possession of "love letters," which the police said were coded political missives. Ortega and his two brothers grew up to become revolutionaries. His brother Humberto Ortega is a former general, military leader, and published writer, and Camilo Ortega has also been politically active. They had a sister, Germania, who died. Seeking stable employment, the family migrated from La Libertad to the provincial capital of Juigalpa, and then to a middle-class neighborhood in Managua. In Managua, Ortega and his brother studied at the upper-middle class high school, the LaSalle Institute, where Ortega was classmate with the former president Arnoldo Aleman. Ortega's father Daniel Ortega Cedra detested US military intervention in Nicaragua and Washington's support for the Somoza dictatorship. He imparted this anti-American sentiment to his sons. Ortega was first arrested for political activities at the age of 15, and quickly joined the then-underground Sandinista National Liberation Front (FSLN). In 1964, Ortega travelled to Guatemala, where the police arrested him and turned him over to the Nicaraguan National Guard. After his release from detainment, Ortega arranged the assassination of his torturer, Guardsman Gonzalo Lacayo, in August 1967. He was imprisoned in 1967 for taking part in armed robbery of a branch of the Bank of America. He told collaborators that they should be killed if they did not take part in the robbery. Ortega was released in late 1974, along with other Sandinista prisoners, in exchange for Somocista hostages. While imprisoned at the El Modelo jail, just outside Managua, Ortega wrote poems, one of which he titled "I Never Saw Managua When Miniskirts Were in Fashion". During his imprisonment, Ortega was severely tortured. While he was incarcerated at El Modelo, his mother helped stage protests and hunger strikes for political prisoners; this resulted in improving the treatment of incarcerated Sandinistas. After being released, Ortega was exiled to Cuba. There he received several months of guerrilla training. He later returned secretly to Nicaragua. In the late 1970s, divisions over the FSLN's campaign against Somoza led Ortega and his brother Humberto to form the Insurrectionist, or Tercerista (Third Way) faction. The Terceristas sought to combine the distinct guerrilla war strategies of the two other factions, Tomás Borge's Guerra Prolongada Popular (GPP, or Prolonged People's War), and Jaime Wheelock's Proletarians. The Ortega brothers forged alliances with a wide array of anti-Somoza forces, including Catholic and Protestant activists, and other non-Marxist civil society groups. The Terceristas became the most effective faction in wielding political and military strength, and their push for FSLN solidarity received the support of revolutionary leaders such as Fidel Castro. Ortega married Rosario Murillo in 1979 in a secret ceremony. They moved to Costa Rica with her three children from a previous marriage. Ortega remarried Murillo in 2005 in order to have the marriage recognized by the Catholic Church, as part of his effort to reconcile with the church. The couple has eight children, three of them together. Murillo serves as the Ortega government's spokeswoman and a government minister, among other positions. Ortega adopted stepdaughter Zoilamérica Narváez in 1986, through a court case. Sandinista revolution (1979–1990) When Somoza was overthrown by the FSLN in July 1979, Ortega became a member of the five-person Junta of National Reconstruction, which included Sandinista militant Moisés Hassan, novelist Sergio Ramírez, businessman Alfonso Robelo, and Violeta Barrios de Chamorro, the widow of a murdered journalist. In September 1979, United States President Carter hosted Ortega at the White House, and warned him against arming other Central American leftist guerrilla movements. At the time, Ortega spoke truthfully when he denied Sandinista involvement in neighboring countries. When Ortega questioned the Americans about CIA support for anti-Sandinista groups, Carter and Deputy Secretary of State Warren Christopher said the reports were false. After the meeting, Carter asked Congress for $75 million in aid to Nicaragua, contingent on the Sandinista government's promise not to aid other guerrillas. The FSLN came to dominate the junta, Robelo and Chamorro resigned, and in 1981 Ortega became the coordinator of the Junta. As the only member of the FSLN National Directorate in the Junta, he was the effective leader of the country. After attaining power, the FSLN embarked upon an ambitious programme of social reform. They arranged to redistribute of land to about 100,000 families; launched a literacy drive, and made health care improvements that ended polio through mass vaccinations, and reduced the frequency of other treatable diseases. The Sandinista nationalization efforts affected mostly banks and industries owned by the extended Somoza family. More than half of all farms, businesses, and industries remained in private hands. The revolutionary government wanted to preserve a mixed economy and support private sector investment. The Superior Council of Private Enterprise (COSEP) opposed the Sandinistas’ economic reform. The main organization of Nicaraguan big business was composed of prosperous families from the Pacific coast cities, who dominated commerce and banking. Ortega took a very hard line against opposition to his policies: On 21 February 1981, the Sandinista army killed 7 Miskito Indians and wounded 17. Ortega's administration forced displacement of many of the indigenous population: 10,000 individuals had been moved by 1982. Thousands of Indians fled to take refuge across the border in Honduras, and Ortega's government imprisoned 14,000 in Nicaragua. Anthropologist Gilles Bataillon termed this "politics of ethnocide" in Nicaragua. The Indians formed two rebel groups – the Misura and Misurasata. They were joined in the north by Nicaraguan Democratic Force (FDN) and in the south by former Sandinistas and peasantry who, under the leadership of Edén Pastora, were resisting forced collectivization. In 1980 the Sandinista government launched the massive Nicaraguan Literacy Campaign and said the illiteracy rate fell from 50% to 13% in the span of five months. Robert F. Arnove said the figures were excessive because many "unteachable" illiterates were omitted from the statistics, and many people declared literate were found to be unable to read or write a simple sentence. Richard Kraft said that even if the figures were exaggerated, the "accomplishment is without precedent in educational history". In 1980, UNESCO awarded Nicaragua the Nadezhda K. Krupskaya prize in recognition of its efforts. The FSLN also focused on improving the Nicaraguan health system, particularly through vaccination campaigns and the construction of public hospitals. These actions reduced child mortality by half, to 40 deaths per thousand. By 1982, the World Health Organization deemed Nicaragua a model for primary health care. During this period, Nicaragua won the UNESCO prize for exceptional health progress. In 1981, United States President Ronald Reagan accused the FSLN of joining with Soviet-backed Cuba in supporting Marxist revolutionary movements in other Latin American countries, such as El Salvador. People within the Reagan administration authorized the CIA to begin financing, arming and training rebels as anti-Sandinista guerrillas, some of whom were former officers from Somoza's National Guard. These were known collectively as the Contras. This resulted in one of the largest political scandals in US history, (the Iran–Contra affair). Oliver North and several members of the Reagan administration defied the Boland Amendment, selling arms to Iran and using the proceeds in order to secretly fund the Contras. The Contra war claimed 30,000 lives in Nicaragua. The tactics used by the Sandinista government to fight the Contras have been widely condemned for their suppression of civil rights. On 15 March 1982, the Junta declared a state of siege, which allowed it to close independent radio stations, suspend the right of association, and limit the freedom of trade unions. Nicaragua's Permanent Commission on Human Rights condemned Sandinista human rights violations, accusing them of killing and forcibly disappearing thousands of persons in the first few years of the war. At the 1984 general election Ortega won the presidency with 67% of the vote and took office on 10 January 1985. In the early phases of the campaign, Ortega enjoyed many institutional advantages, and used the full power of the press, police, and Supreme Electoral Council against the fractured opposition. In the weeks before the November election, Ortega gave a U.N. speech denouncing talks held in Rio de Janeiro on electoral reform. But by 22 October, the Sandinistas signed an accord with opposition parties to reform electoral and campaign laws, making the process more fair and transparent. While campaigning, Ortega promoted the Sandinistas’ achievements, and at a rally said that “Democracy is literacy, democracy is land reform, democracy is education and public health.” International observers judged the election to be the first free election held in the country in more than half a century. A report by an Irish governmentary delegation stated: "The electoral process was carried out with total integrity. The seven parties participating in the elections represented a broad spectrum of political ideologies." The general counsel of New York's Human Rights Commission described the election as "free, fair and hotly contested." A study by the US Latin American Studies Association (LASA) concluded that the FSLN (Sandinista Front) "did little more to take advantage of its incumbency than incumbent parties everywhere (including the U.S.) routinely do." However some people described the election as "rigged". According to a detailed study, since the 1984 election was for posts subordinate to the Sandinista Directorate, the elections were no more subject to approval by vote than the Central Committee of the Communist Party is in countries of the East Bloc. Thirty-three per cent of the Nicaraguan voters cast ballots for one of six opposition parties—three to the right of the Sandinistas, three to the left—which had campaigned with the aid of government funds and free T.V. and radio time. Two conservative parties captured a combined 23% of the vote. They held rallies across the country (a few of which were disrupted by FSLN supporters) and blasted the Sandinistas in harsh terms. Most foreign and independent observers noted this pluralism in debunking the Reagan administration charge—ubiquitous in the US media—that it was a "Soviet-style sham" election. Some opposition parties boycotted the election, allegedly under pressure from US embassy officials, and so it was denounced as being unfair by the Reagan administration. Reagan thus maintained that he was justified to continue supporting what he referred to as the Contras' "democratic resistance". In opposition (1990–2007) In the 1990 presidential election, Ortega lost his reelection bid to Violeta Barrios de Chamorro, his former colleague in the junta. Chamorro was supported by the US and a 14-party anti-Sandinista alliance known as the National Opposition Union (Unión Nacional Oppositora, UNO), an alliance that ranged from conservatives and liberals to communists. She ran an effective campaign, presenting herself as the peace candidate and promising to end the US-funded Contra War if she won. Ortega campaigned on the slogan, "Everything Will Be Better," and promised that, with the Contra war over, he could focus on the nation's recovery. Contrary to what most observers expected, Chamorro shocked Ortega and won the election. Chamorro's UNO coalition garnered 54% of the vote, and won 51 of the 92 seats in the National Assembly. Immediately after the loss, the Sandinistas tried to maintain unity around their revolutionary posture. In Ortega's concession speech the following day he vowed to keep "ruling from below" a reference to the power that the FSLN still wielded in various sectors. He also stressed his belief that the Sandinistas had the goal of bringing "dignity" to Latin America, and not necessarily to hold on to government posts. In 1991, Ortega said elections were “an instrument to reaffirm” the FSLN's “political and ideological positions,” and also “confront capitalism.” However, the electoral loss led to pronounced divisions in the FSLN. Some members adopted more pragmatic positions, and sought to transform the FSLN into a modern social democratic party engaged in national reconciliation and class cooperation. Ortega and other party insiders found common ground with the radicals, who still promoted anti-imperialism and class conflict to achieve social change. Possible explanations for his loss include that the Nicaraguan people were disenchanted with the Ortega government as well as the fact that already in November 1989, the White House had announced that the economic embargo against Nicaragua would continue unless Violeta Chamorro won. Also, there had been reports of intimidation from the side of the contras, with a Canadian observer mission stating that 42 people were killed by the contras in "election violence" in October 1989. This led many commentators to assume that Nicaraguans voted against the Sandinistas out of fear of a continuation of the contra war and economic deprivation. From 19 to 21 July 1991, the FSLN held a National Congress to mend the rifts between members and form a new overarching political program. The effort failed to unite the party, and intense debates over the internal governance of the FSLN continued. The pragmatists, led by the former vice president Sergio Ramirez, formed the basis of a "renovating" faction, and supported collaboration with other political forces to preserve the rule of law in Nicaragua. Under the leadership of Ortega and Tomas Borge, the radicals regrouped into the "principled" faction, and branded themselves the Izquierda Democratica (ID), or Democratic Left (DL). The DL fought the Chamorro government with disruptive labor strikes and demonstrations, and renewed calls for the revolutionary reconstruction of Nicaraguan society. During the 20–23 May 1994, extraordinary congress, Ortega ran against a fellow National Directorate member, Henry Ruiz, for the position of party secretary-general. Ortega was elected with 287 to Ruiz's 147 votes, and the DL secured the most dominant role in the FSLN. On 9 September 1994, Ortega gained more power after taking over Sergio Ramirez's seat in the Asamblea Sandinista (Sandinista Assembly). Ramirez had served as chief of the FSLN's parliamentary caucus since 1990, but Ortega came to oppose his actions in the National Assembly, setting the stage for Ramirez's removal. Historic leaders, such as Ernesto Cardenal, a former minister of culture in the Sandinista government, rejected Ortega's consolidation of power: “My resignation from the FSLN has been caused by the kidnapping of the party carried out by Daniel Ortega and the group he heads.” The party formally split on 8 January 1995, when Ramirez and a number of prominent Sandinista officials quit. Ortega ran for election again, in October 1996 and November 2001, but lost on both occasions to Arnoldo Alemán and Enrique Bolaños, respectively. In these elections, a key issue was the allegation of corruption. In Ortega's last days as president, through a series of legislative acts known as "The Piñata", estates that had been seized by the Sandinista government (some valued at millions and even billions of US dollars) became the private property of various FSLN officials, including Ortega himself. In the 1996 campaign, Ortega faced the Liberal Alliance (Alianza Liberal), headed by Arnoldo Aleman Lacayo, a former mayor of Managua. The Sandinistas softened their anti-imperialist rhetoric, with Ortega calling the US “our great neighbor,” and vowing to cooperate “within a framework of respect, equality, and justice.” The image change failed, as Aleman's Liberal Alliance came first with 51.03% of the vote, while Ortega's FSLN secured 37.75%. Ortega's policies became more moderate during his time in opposition, and he gradually changed much of his former Marxist stance in favor of an agenda of democratic socialism. His Roman Catholic faith has become more public in recent years as well, leading Ortega to embrace a variety of socially conservative policies; in 2006 the FSLN endorsed a strict law banning all abortions in Nicaragua. In the run-up to the 2006 elections, Ortega displayed his ties to the Catholic Church by renewing his marriage vows before Cardinal Miguel Obando y Bravo. Ortega was instrumental in creating the controversial strategic pact between the FSLN and the Constitutional Liberal Party (Partido Liberal Constitucionalista, PLC). The controversial alliance of Nicaragua's two major parties is aimed at distributing power between the PLC and FSLN, and preventing other parties from rising. After sealing the agreement in January 2000, the two parties controlled the three key institutions of the state: the Comptroller General of the Republic, the Supreme Court, and the Supreme Electoral Council. "El Pacto," as it is known in Nicaragua, is said to have personally benefited former presidents Ortega and Alemán greatly, while constraining then-president Bolaños. One of the key accords of the pact was to lower the ratio necessary to win a presidential election in the first round from 45% to 35%, a change in electoral law that would become decisive in Ortega's favor in the 2006 elections. At the Fourth Ordinary Congress of the FSLN, held 17–18 March 2002, Ortega eliminated the National Directorate (DN). Once the main collective leadership body of the party, with nine members, the DN no longer met routinely, and only three historic members remained. Instead, the body just supported decisions already made by the secretary-general. Ortega sidelined party officials and other members while empowering his own informal circle, known as the ring of iron. 2001 presidential election In the November 2001 general elections, Ortega lost his third successive presidential election, this time to Enrique Bolaños of the Constitutionalist Liberal Party. Under Ortega's direction, the FSLN formed the broad National Convergence (Convergencia Nacional) coalition in opposition to the PLC. Ortega abandoned the revolutionary tone of the past, and infused his campaign with religious imagery, giving thanks in speeches to “God and the Revolution” for the post-1990 democracy, and said a Sandinista victory would enable the Nicaraguan people to “pass through the sea and reach the Promised Land.” The US opposed Ortega's candidacy from the beginning. The US ambassador even made an appearance with the PLC's Enrique Bolanos while distributing food aid. The 11 September 2001, terrorist attacks doomed Ortega's chances, as the threat of a US invasion became an issue. Bolanos convinced many Nicaraguans that the renewed US hostility towards terrorism would endanger their country if the openly anti-US Ortega prevailed. Bolanos ended up with 56.3% of the vote, and Ortega won 42.3%. 2006 presidential election In 2006, Daniel Ortega was elected president with 38% of the vote. This occurred despite the fact that the breakaway Sandinista Renovation Movement (MRS) continued to oppose the FSLN, running former Mayor of Managua, Herty Lewites as its candidate for president. Ortega personally attacked Lewites’ Jewish background, compared him to Judas, and warned he “could end up hanged.” However, Lewites died several months before the elections. Ortega emphasized peace and reconciliation in his campaign, and selected a former Contra leader, Jaime Morales Corazo, as his running mate. The FSLN also won 38 seats in the congressional elections, becoming the party with the largest representation in parliament. The split in the Constitutionalist Liberal Party helped allow the FSLN to become the largest party in Congress; however, the Sandinista vote had a minuscule split between the FSLN and MRS, and that the liberal party combined is larger than the Frente Faction. In 2010, several liberal congressmen raised accusations about the FSLN presumably attempting to buy votes to pass constitutional reforms that would allow Ortega to run for office for the 6th time since 1984. Second presidency (2007–present) According to Tim Rogers, writing in The Atlantic, during his second term as president, Ortega took "full control of all four branches of government, state institutions, the military, and police", and in the process dismantled "Nicaragua’s institutional democracy". Frances Robles wrote that Ortega took control "every aspect of government ... the National Assembly, the Supreme Court, the armed forces, the judiciary, the police and the prosecutor’s office". In its 2019 World Report, Human Rights Watch wrote that Ortega "aggressively dismantled all institutional checks on presidential power". 2008 elections In June 2008 the Nicaraguan Supreme Court disqualified the MRS and the Conservative Party from participation in municipal elections. In November 2008, the Supreme Electoral Council received national and international criticism following irregularities in municipal elections, but agreed to review results for Managua only, while the opposition demanded a nationwide review. For the first time since 1990, the Council decided not to allow national or international observers to witness the election. Instances of intimidation, violence, and harassment of opposition political party members and NGO representatives have been recorded. Official results show Sandinista candidates winning 94 of the 146 municipal mayoralties, compared to 46 for the main opposition Liberal Constitutional Party (PLC). The opposition claimed that marked ballots were dumped and destroyed, that party members were refused access to some of the vote counts and that tallies from many polling places were altered. As a result of the fraud allegations, the European Union suspended $70m of aid, and the US$64m. With the late-2000s recession, Ortega in 2011 characterised capitalism as in its "death throes" and portrayed the Bolivarian Alternative for the People of Our America (ALBA) is the most advanced, most Christian and fairest project. He also said God was punishing the United States with the financial crisis for trying to impose its economic principles on poor countries. "It's incredible that in the most powerful country in the world, which spends billions of dollars on brutal wars ... people do not have enough money to stay in their homes." Before the National Sandinista Council held in September 2009, Lenin Cerna, the secretary of the party organization, called for diversifying its political strategies. He declared the FSLN's future depended on implementing new plans, “so that the party can advance via new routes and in new ways, always under Ortega’s leadership.” Ortega gained power over the selection of candidates, allowing him to personally choose all candidates for public office. During an interview with David Frost for the Al Jazeera English programme Frost Over The World in March 2009, Ortega suggested that he would like to change the constitution to allow him to run again for president. In Judicial Decision 504, issued on 19 October 2009, the Supreme Court of Justice of Nicaragua declared portions of Articles 147 and 178 of the Constitution of Nicaragua inapplicable; these provisions concerned the eligibility of candidates for president, vice-president, mayor, and vice-mayor—a decision that had the effect of allowing Ortega to run for reelection in 2011. For this decision, the Sandinista magistrates formed the required quorum by excluding the opposition magistrates and replacing them with Sandinista substitutes, violating the Nicaraguan constitution. Opposing parties, the church and human rights groups in Nicaragua denounced the decision. Throughout 2010, court rulings gave Ortega greater power over judicial and civil service appointments. While supporting abortion rights during his presidency during the 1980s, Ortega has since embraced the Catholic Church's position of strong opposition. While non-emergency abortions have long been illegal in Nicaragua, recently even abortions "in the case where the pregnancy endangers the mother's life", otherwise known as therapeutic abortions have been made illegal in the days before the 2006 election, with a six-year prison term in such cases, too—a move supported by Ortega. 2011 election Ortega was re-elected president with a vote on 6 November and confirmation on 16 November 2011. During the election, the Supreme Electoral Council (CSE) blocked both domestic and international poll observers from multiple polling stations. According to the Supreme Electoral Council, Ortega defeated Fabio Gadea, with 63% of the vote. 2014 amendments In January 2014 the National Assembly, dominated by the FSLN, approved constitutional amendments that abolished term limits for the presidency and allowed a president to run for an unlimited number of five-year terms. While the FSLN claimed the amendments would assure the stability Nicaragua needed to deal with long-term problems, the opposition claimed they were a threat to democracy. The constitutional reforms also gave Ortega the sole power to appoint military and police commanders. 2016 elections As of 2016, Ortega's family owns three of the nine free-to-air television channels in Nicaragua, and controls a fourth (the public Channel 6). Four of the remaining five are controlled by Mexican mogul Ángel González, and are generally considered to be aligned with Ortega's ruling FSLN party. There are no government restrictions on Internet use; the Ortega administration attempted to gain complete control over online media in 2015, but failed due to opposition from civil society, political parties, and private organizations. In June 2016, the Nicaraguan supreme court ruled to oust Eduardo Montealegre, the leader of the main opposition party, leaving the main opposition coalition with no means of contesting the November 2016 national elections. In August 2016, Ortega chose his wife, Rosario Murillo, as his vice-presidential running-mate for re-election. According to the Washington Post, figures announced on November 7, 2016, put Daniel Ortega in line for his third consecutive term as president, also being his fourth term overall. The Supreme Electoral Council (CSE) reported Ortega and Murillo won 72.4% of the vote, with 68% turnout. The opposition coalition had called the election a "farce" and had called for the boycott of the election. International observers were not allowed to observe the vote. Nevertheless, according to the BBC, Ortega was the most popular candidate by far, possibly due to Nicaragua's stable economic growth and lack of violence compared to its neighbours El Salvador and Honduras in recent years. Economic situation during presidency According to Tim Rogers, until the 2018 unrest, as president Ortega presided over "the fastest-growing economy in Central America" and was a "poster child for foreign investment and citizen security in a region known for gangs and unrest". During this time the Ortega government formed an alliance with the Superior Council for Private Enterprise (COSEP), Nicaragua's council of business chambers. However the same unpopular decree which "unilaterally overhauling the social-security tax system" (mentioned below) and precipitated the unrest in April 2018, also broke Ortega's arrangement with COSEP, and along with US sanctions, brought a sharp economic drop that as of mid-2020 is still "crippling" Nicaragua's economy. Response to COVID pandemic President Ortega's government has been the target of criticism for its lack of a response to the pandemic. On 14 March 2020, Ortega's government called a massive demonstration called "Love in the Time of COVID-19" as a show of support to him and his government. This occurred in the middle of the COVID-19 Pandemic which had only recently been officially declared by the WHO. According to CNN, as of mid-June 2020, Ortega had "refused to impose strict, preventive quarantine measures seen in neighboring countries" to fight the COVID-19 pandemic. "Public schools remain open, businesses continue to operate, festivals and cultural events are happening on an almost-weekly basis." The story stated that from mid-March to mid-June six politicians had died, and, according to witnesses, their remains disposed of at night in "express burials" (with police in attendance but "no Mass, no wake and no funeral arrangements", no photographs). The Ortega government said reports of "express burials" were "false news." According to AP News "the government threatened to ban" professional baseball players "who refuse to play baseball ... And everyone is warned to keep quiet." In hospitals "ruling-party activists ensure no information leaks out", and it quotes a doctor (anesthesiologist María Nela Escoto) complaining that in the public hospital where she works "everything is secret. They don’t allow suggestions, and you can’t question anything because they’re watching. It’s a very hostile environment.” (At the start of the pandemic, Ortega was out of the public eye for "more than 40 days", and no explanation was given for his absence when he returned.) 2018 unrest In April 2018, student protests over a nature reserve fire expanded to cover an unpopular decree that would have cut social security benefits and increased taxpayer contributions. The protesters were violently set upon by the state sponsored Sandinista Youth. Despite attempts by Ortega's government to hide the incident through censorship of all private-owned news outlets, photos and videos of the violence made their way to social media where they sparked outrage and urged more Nicaraguans to join in on the protests. Tensions escalated quickly, as police began using tear gas canisters and rubber bullets, and eventually live ammunition on unarmed protesters. Authorities were also seen arming Sandinista Youth members with weapons to serve as paramilitary forces. Dozens of student protesters were subsequently killed. Despite the withdrawal of the unpopular decree, the protests continue, with most protesters demanding Ortega's and his cabinet's resignations. On 30 May 2018, Nicaragua's Mother's Day, over 300,000 people marched to honor the mothers of students killed in the preceding protests. Despite the attendance of children, mothers and retirees, and lack of any violence by marchers, marchers were attacked in an event dubbed the "Mother's Day Massacre". 16 were killed, and 88 injured, as "police sprayed the crowd with bullets, government sharpshooters positioned on the roof of the national baseball stadium went headhunting with sniper rifles". In June 2018, Tim Rogers wrote in The Atlantic magazine:Over the past seven weeks, Ortega’s police and paramilitaries have killed more than 120 people, mostly students and other young protesters who are demanding the president’s ouster and a return to democracy, according to a human-rights group [CENIDH, Nicaraguan Center for Human Rights]. Police hunt students like enemy combatants. Sandinista Youth paramilitaries, armed and paid by Ortega’s party, drive around in pickup trucks attacking protesters. Gangs of masked men loot and burn shops with impunity. Cops wear civilian clothing, and some paramilitaries dress in police uniforms. “This is starting to look more like Syria than Caracas,” one Nicaraguan business leader told me. By December 322 people were dead and 565 imprisoned. Professionals involved in the protests (lawyers, engineering majors, radio broadcasters and merchants) had been reduced to lives of "ever-changing safe houses, encrypted messaging apps and pseudonyms", with the Ortega government allegedly “hunting us like deer,” according to one dissident (Roberto Carlos Membreño Briceño). Human rights organization offices were raided, computers seized and observers expelled. Observers from the Organization of American States were expelled after releasing a critical investigative report of the government's response to the protests. The report found the government had progressed from "using tear gas to rubber bullets, then real bullets and finally military firepower like assault rifles and grenade launchers", based on an analysis of videos posted on social media. At least 1,400 people involved in the protests were hurt, although that the number was probably "far higher because most people were too afraid to go to public hospitals, where doctors were fired for treating wounded protesters". By July 2019 the international human rights organization Human Rights Watch called on the United States to impose sanctions on Ortega "and other top" Nicaraguan officials "implicated" in the crackdown on protests. Foreign policy Soon after the 2006 election, Ortega paid an official visit to Iran and met Iranian President Mahmoud Ahmadinejad. Ortega told the press that the "revolutions of Iran and Nicaragua are almost twin revolutions...since both revolutions are about justice, liberty, self-determination, and the struggle against imperialism." On 6 March 2008, following the 2008 Andean diplomatic crisis, Ortega announced that Nicaragua was breaking diplomatic ties with Colombia "in solidarity with the Ecuadorian people". Ortega also stated, "We are not breaking relations with the Colombian people. We are breaking relations with the terrorist policy practiced by Álvaro Uribe's government". The relations were restored with the resolution at a Rio Group summit held in Santo Domingo, Dominican Republic, on 7 March 2008. At the summit Colombia's Álvaro Uribe, Ecuador's Rafael Correa, Venezuela's Hugo Chávez and Ortega publicly shook hands in a show of good-will. The handshakes, broadcast live throughout Latin America, appeared to signal that a week of military buildups and diplomatic repercussions was over. After the handshakes, Ortega said he would re-establish diplomatic ties with Colombia. Uribe then quipped that he would send him the bill for his ambassador's plane fare. On 25 May 2008, Ortega, upon learning of the death of FARC guerrilla leader Manuel Marulanda in Colombia, expressed condolences to the family of Marulanda and solidarity with the FARC and called Marulanda an extraordinary fighter who battled against profound inequalities in Colombia. The declarations were protested by the Colombian government and criticized in the major Colombian media outlets. On 2 September 2008, during ceremonies for the 29th anniversary of the founding of the Nicaraguan army, Ortega announced that "Nicaragua recognizes the independence of South Ossetia and Abkhazia and fully supports the Russian government's position". Ortega's decision made Nicaragua the second country (after Russia) to recognize the independence of Abkhazia and South Ossetia from Georgia. A day after Venezuela recognised the two Republics, Nicaragua established diplomatic relations with Abkhazia, and followed this by establishing diplomatic links with South Ossetia. Embassies have been mooted, but as of 2013 these had not opened. When seeking office, Ortega threatened to cut diplomatic recognition with the Republic of China (Taiwan, formerly Nationalist China) in order to restore relations with the Mainland-based People's Republic of China (as in the period from 1985 to 1990) as the legal government of China. But he did not do so. In 2007 Ortega stated that Nicaragua did not accept the One China Policy of the PRC government and that Nicaragua reserved the right to maintain official diplomatic relations with the ROC. He reassured President Chen Shui Bian in 2007 that Nicaragua would not break diplomatic relations with the ROC. He explained that during the Reagan administration the United States imposed sanctions on Nicaragua. But cutting ties with Taipei was a sad and painful decision because of the friendship between Nicaragua and Taiwan's people and government. Ortega met with the ROC President Ma Ying-jeou in 2009 and both agreed to improve the diplomatic ties between both countries. However, with a trade show from China (PRC) in Managua in 2010, he is attempting a two-track policy to get benefits from both sides. In 2016 Nicaragua and China (ROC) signed an air services agreement and Ortega stated that Nicaragua's free trade deal with the ROC had benefited both nations. The ROC increased its investment in Nicaragua. In December 2021, Nicaragua once again switched recognition with the PRC. In September 2010, after a US report listed Nicaragua as a "major" drug-trafficking centre, with Costa Rica and Honduras, Ortega urged the US Congress and Obama administration to allocate more resources to assist the fight against drug trafficking. During the Libyan Civil War, Ortega was among the very few leaders who spoke out in clear defense of the embattled Muammar Gaddafi. During a telephone conversation between the two, Ortega told Gaddafi that he was "waging a great battle to defend his nation" and stated that "it's at difficult times that loyalty and resolve are put to the test." Ortega has said that Assad's victory in the 2014 election is an important step to "attain peace in Syria and a clear cut evidence that the Syrian people trust their president as a national leader and support his policies which aim at maintaining Syria's sovereignty and unity". Ortega attended the swearing-in ceremony of Nicolás Maduro for his second term on 10 January 2019. In an interview with Max Blumenthal in August 2019, Ortega stated that he was open to the idea of Bernie Sanders (who had visited him in 1985) winning the US presidency in 2020 and that Bernie's message "goes in the right direction for the U.S. to become a pole of peace, development, and cooperation." Environmental policy In 2016, Daniel Ortega did not sign the Paris Agreement because he felt the deal did not do enough to protect the climate, although he later changed his mind. Moreover, Nicaragua rejected projects of mining of the Canadian group B2 Gold which could represent a threat to the environment. According to government estimates, Nicaragua has passed from 25% renewable electricity to 52% between 2007 and 2016. US sanctions In November 2021, Joe Biden signed into law the "Reinforcing Nicaragua’s Adherence to Conditions for Electoral Reform Act" (RENACER Act) which extended US sanctions against Nicaragua and gave Biden the power to exclude Nicaragua from the Dominican Republic-Central America Free Trade Agreement (CAFTA-DR) and to obstruct multilateral loans to Nicaragua. Venezuela and Russia condemned the new law. Electoral history 1984 general election 1990 general election 1996 general election 2001 general election 2006 general election 2011 general election 2016 general election 2021 general election Controversy Ortega's presidency has been subject to much criticism and accusations of his becoming a strongman. The 2018 protests have been pointed to as being symbolic of these tensions. In 2018, Frances Robles wrote in The New York Times that the "many Ortega adult children manage everything from gasoline distribution to television stations" in Nicaragua. In the months preceding the November 2021 Nicaraguan general election, Ortega's government arrested many prominent opposition members. As of July 23, 26 opposition leaders have been imprisoned. Sexual abuse allegations In 1998, Daniel Ortega's adopted stepdaughter Zoilamérica Narváez released a 48-page report in which she alleged he had sexually abused her from 1979, when she was 12, until 1990. Ortega and his wife Murillo denied the allegation. The case could not proceed in Nicaraguan courts, which have been consistently allied with Ortega, because he had immunity from prosecution as a member of parliament, and the five-year statute of limitations for sexual abuse and rape charges had expired. Narváez's complaint to the Inter American Human Rights Commission was ruled admissible on 15 October 2001. On 4 March 2002, the Nicaraguan government accepted the commission's recommendation of a "friendly agreement". Narváez withdrew the accusations in 2008. Following the 2016 election, Narváez renewed her accusations and said that she had become an outcast in her family. In 2019 a documentary film Exiliada was released which revolves around Zoilamérica Narváez and her sexual abuse allegations against Ortega. Foreign honours Order of Honor and Glory, First Class Order of José Martí Order of Sukhbaatar Order of the Sun of Peru Order of Friendship Uatsamonga Order References Citations Sources , especially: External links Office of the President Biography by CIDOB |- |- 1945 births Anti-Americanism Anti-capitalists Anti-fascists Catholic socialists Central American University (Managua) alumni Living people Nicaraguan Christian socialists Nicaraguan communists Nicaraguan Marxists Nicaraguan nationalists Nicaraguan prisoners and detainees Nicaraguan revolutionaries Nicaraguan Roman Catholics Nicaraguan socialists Nicaraguan torture victims Nicaraguan male writers People from Chontales Department People of the Nicaraguan Revolution Presidents of Nicaragua Sandinista National Liberation Front politicians Socialist rulers
8791
https://en.wikipedia.org/wiki/Dennis%20Hopper
Dennis Hopper
Dennis Lee Hopper (May 17, 1936 – May 29, 2010) was an American actor and filmmaker. He attended the Actors Studio, made his first television appearance in 1954, and soon after appeared in Giant (1956). In the next ten years he made a name in television, and by the end of the 1960s had appeared in several films, notably Cool Hand Luke (1967) and Hang 'Em High (1968). Hopper also began a prolific and acclaimed photography career in the 1960s. Hopper made his directorial film debut with Easy Rider (1969), which he and co-star Peter Fonda wrote with Terry Southern. The film earned Hopper a Cannes Film Festival Award for "Best First Work" and a nomination for the Academy Award for Best Original Screenplay (shared with Fonda and Southern). Journalist Ann Hornaday wrote: "With its portrait of counterculture heroes raising their middle fingers to the uptight middle-class hypocrisies, Easy Rider became the cinematic symbol of the 1960s, a celluloid anthem to freedom, macho bravado and anti-establishment rebellion". Film critic Matthew Hays wrote "no other persona better signifies the lost idealism of the 1960s than that of Dennis Hopper". Following the critical and commercial failure of his second film as director, The Last Movie (1971), he worked on various independent and foreign projects – in which he was frequently typecast as mentally disturbed outsiders in such films as Mad Dog Morgan (1976) and The American Friend (1977) – until he found new fame for his role as an American photojournalist in Apocalypse Now (1979). He went on to helm his third directorial work Out of the Blue (1980), for which he was again honored at Cannes, and appeared in Rumble Fish (1983) and The Osterman Weekend (1983). He saw a career resurgence in 1986 when he was widely acclaimed for his performances in Blue Velvet and Hoosiers, the latter of which saw him nominated for the Academy Award for Best Supporting Actor. His fourth directorial outing came about through Colors (1988), followed by an Emmy-nominated lead performance in Paris Trout (1991). In 1990, Dennis Hopper directed The Hot Spot, which was not a box-office hit. Hopper found greater fame for portraying the villains of the films Super Mario Bros. (1993), Speed (1994) and Waterworld (1995). Hopper's later work included a leading role in the short-lived television series Crash (2008–2009), inspired by the film of the same name. He appeared in three films released posthumously: Alpha and Omega (2010), The Last Film Festival (2016) and the long-delayed The Other Side of the Wind (2018), which had been filmed in the early 1970s. Early life Hopper was born on May 17, 1936, in Dodge City, Kansas, the son of Marjorie Mae (née Davis; July 12, 1917 – January 12, 2007) and James Millard Hopper (June 23, 1916 – August 7, 1982). He had Scottish ancestors. Hopper had two brothers, Marvin and David. After World War II, the family moved to Kansas City, Missouri, where the young Hopper attended Saturday art classes at the Kansas City Art Institute. When he was 13, Hopper and his family moved to San Diego, where his mother worked as a lifeguard instructor and his father was a post office manager, having previously served in the Office of Strategic Services, the precursor to the Central Intelligence Agency, in World War II in the China Burma India Theater. Hopper was voted most likely to succeed at Helix High School, where he was active in the drama club, speech and choir. It was there that he developed an interest in acting, studying at the Old Globe Theatre in San Diego, and the Actors Studio in New York City (he studied with Lee Strasberg for five years). Hopper struck up a friendship with actor Vincent Price, whose passion for art influenced Hopper's interest in art. He was especially fond of the plays of William Shakespeare. Career Film Hopper was reported to have an uncredited role in Johnny Guitar in 1954 but he has stated that he was not in Hollywood when this film was made. Hopper made his debut on film in two roles with James Dean (whom he admired immensely) in Rebel Without a Cause (1955) and Giant (1956). Dean's death in a car accident in September 1955 affected the young Hopper deeply and it was shortly afterward that he got into a confrontation with veteran director Henry Hathaway on the film From Hell to Texas (1958). Hopper forced Hathaway to shoot more than 80 takes of a scene over several days before he acquiesced to Hathaway's direction. After filming was finally completed, Hathaway allegedly told Hopper that his career in Hollywood was finished. In his book Last Train to Memphis, American popular music historian Peter Guralnick says that in 1956, when Elvis Presley was making his first film in Hollywood, Hopper was roommates with fellow actor Nick Adams and the three became friends and socialized together. In 1959 Hopper moved to New York to study Method acting under Lee Strasberg at the Actors Studio. In 1961, Hopper played his first lead role in Night Tide, an atmospheric supernatural thriller involving a mermaid in an amusement park. In a December 1994 interview on the Charlie Rose Show, Hopper credited John Wayne with saving his career, as Hopper acknowledged that because of his insolent behavior, he could not find work in Hollywood for seven years. Hopper stated that because he was the son-in-law of actress Margaret Sullavan, a friend of John Wayne, Wayne hired Hopper for a role in The Sons of Katie Elder (1965), also directed by Hathaway, which enabled Hopper to restart his film career. Hopper acted in another John Wayne film, True Grit (1969), and during its production, he became well acquainted with Wayne. In both of the films with Wayne, Hopper's character is killed in the presence of Wayne's character, to whom he utters his dying words. Hopper had a supporting role as the bet-taker, "Babalugats", in Cool Hand Luke (1967). In 1968, Hopper teamed with Peter Fonda, Terry Southern and Jack Nicholson to make Easy Rider, which premiered in July 1969. With the release of True Grit a month earlier, Hopper had starring roles in two major box office films that summer. Hopper won wide acclaim as the director for his improvisational methods and innovative editing for Easy Rider. The production was plagued by creative differences and personal acrimony between Fonda and Hopper, the dissolution of Hopper's marriage to Brooke Hayward, his unwillingness to leave the editor's desk and his accelerating abuse of drugs and alcohol. Hopper said of Easy Rider: "The cocaine problem in the United States is really because of me. There was no cocaine before Easy Rider on the street. After Easy Rider, it was everywhere". Besides showing drug use on film, it was one of the first films to portray the hippie lifestyle. Hopper became a stereotype for some male youths who rejected traditional jobs and traditional American culture, partly exemplified by Fonda's long sideburns and Hopper wearing shoulder-length hair and a long mustache. They were denied rooms in motels and proper service in restaurants as a result of their radical looks. Their long hair became a point of contention in various scenes during the film. Hopper was unable to capitalize on his Easy Rider success for several years. In 1970 he filmed The Last Movie, cowritten by Stewart Stern and photographed by László Kovács in Peru, and completed production in 1971. It won the prestigious CIDALC Award at that year's Venice Film Festival, but Universal Studios leaders expected a blockbuster like Easy Rider, and did not like the film or give it an enthusiastic release, while American film audiences found it confounding – as convoluted as an abstract painting. On viewing the first release print, fresh from the lab, in his screening room at Universal, MCA founder Jules C. Stein rose from his chair and said, "I just don't understand this younger generation." During the tumultuous editing process, Hopper ensconced himself at the Mabel Dodge Luhan House in Taos, New Mexico, which he had purchased in 1970, for almost an entire year. In between contesting Fonda's rights to the majority of the residual profits from Easy Rider, he married singer Michelle Phillips of The Mamas and the Papas on Halloween of 1970. The marriage lasted eight days. Hopper was able to sustain his lifestyle and a measure of celebrity by acting in numerous low budget and European films throughout the 1970s as the archetypal "tormented maniac", including Mad Dog Morgan (1976), Tracks (1976), and The American Friend (1977). With Francis Ford Coppola's blockbuster Apocalypse Now (1979), Hopper returned to prominence as a hyper-manic Vietnam-era photojournalist. Stepping in for an overwhelmed director, Hopper won praise in 1980 for his directing and acting in Out of the Blue. Immediately thereafter, Hopper starred as an addled short-order cook "Cracker" in the Neil Young/Dean Stockwell low-budget collaboration Human Highway. Production was reportedly often delayed by his unreliable behavior. Peter Biskind states in the New Hollywood history Easy Riders, Raging Bulls that Hopper's cocaine intake had reached three grams a day by this time, complemented by 30 beers, and some marijuana and Cuba libres. After staging a "suicide attempt" (really more of a daredevil act) in a coffin using 17 sticks of dynamite during an "art happening" at the Rice University Media Center (filmed by professor and documentary filmmaker Brian Huberman), and later disappearing into the Mexican desert during a particularly extravagant bender, Hopper entered a drug rehabilitation program in 1983. Though Hopper gave critically acclaimed performances in Coppola's Rumble Fish (1983) and Sam Peckinpah's The Osterman Weekend (1983), it was not until he portrayed the gas-huffing, obscenity-screaming villain Frank Booth in David Lynch's Blue Velvet (1986) that his career truly revived. On reading the script Hopper said to Lynch: "You have to let me play Frank Booth. Because I am Frank Booth!" He won critical acclaim and several awards for this role, and in the same year received an Oscar nomination for Best Supporting Actor for his role as an alcoholic assistant basketball coach in Hoosiers. Also in 1986, Hopper portrayed Lt. Enright in the comedy horror The Texas Chainsaw Massacre 2. In 1988, he directed Colors, a critically acclaimed police procedural about gang violence in Los Angeles starring Sean Penn and Robert Duvall. Hopper kind of plays himself as an aging hippie prankster in the 1990 comedy Flashback, fleeing in a Furthur-like old bus to the tune of Steppenwolf's "Born to Be Wild". He was nominated for an Emmy Award for the 1991 HBO film Paris Trout. Shortly thereafter, he played drug smuggler and DEA informant Barry Seal in the HBO film Doublecrossed. He starred as King Koopa in Super Mario Bros., a 1993 critical and commercial failure loosely based on the video game of the same name. In 1993, he played Clifford Worley in True Romance. He co-starred in the 1994 blockbuster Speed with Keanu Reeves and Sandra Bullock, and as magic-phobic H.P. Lovecraft in the TV movie Witch Hunt. In 1995, Hopper played a greedy TV self-help guru, Dr. Luther Waxling in Search and Destroy. The same year, he starred as Deacon, the one-eyed nemesis of Kevin Costner in Waterworld. And in 1996 he starred in the science fiction comedy Space Truckers directed by Stuart Gordon. In 1999, he starred in The Prophet's Game (a dark thriller), Directed by David Worth and also starring Stephanie Zimbalist, Robert Yocum, Sandra Locke, Joe Penny and Tracey Birdsall. In 2003, Hopper was in the running for the dual lead in the indie horror drama Firecracker, but was ousted at the last minute in favor of Mike Patton. In 2005, Hopper played Paul Kaufman in George A. Romero's Land of the Dead. In 2008, Hopper starred in An American Carol. In 2008 he also played The Death in Wim Wenders' Palermo Shooting. His last major feature film appearance was in the 2008 film Elegy with Ben Kingsley, Penélope Cruz and Debbie Harry. For his last performance, he was the voice of Tony, the alpha-male of the Eastern wolf pack inside the 2010 3D computer animated film Alpha and Omega. He died before the movie was released. This brought the directors to dedicate the film to his memory at the beginning of the movie credits. Hopper filmed scenes for The Other Side of the Wind in 1971, appearing as himself; after decades of legal, financial and technical delays, the film was finally released on Netflix in 2018. Television Hopper debuted in an episode of the Richard Boone television series Medic in 1955, portraying a young epileptic. He appeared as an arrogant young gunfighter, the Utah Kid, in the 1956 episode "Quicksand" of the first hour-long western television series Cheyenne, starring Clint Walker. In the storyline, the Kid gave Cheyenne Bodie no choice but to kill him in a gunfight. In 1957 Hopper played thief Abe Larson in another Cheyenne episode titled "The Iron Trail." In 1957, he played Billy the Kid on the episode "Brannigan's Boots" of Sugarfoot with Will Hutchins. He appeared in the very first episode of the popular TV series, "The Rifleman" (1958–1963) as protagonist Vernon Tippet. The series starred Chuck Connors and the premiere episode "The Sharpshooter" was written by Sam Peckinpah. He subsequently appeared in over 140 episodes of television shows such as Gunsmoke, Bonanza, Petticoat Junction, The Twilight Zone, The Barbara Stanwyck Show, The Defenders, The Investigators, The Legend of Jesse James, Entourage, The Big Valley, The Time Tunnel, and Combat!. On 30 September 1970, Hopper appeared on the season 2-second episode of "The Johnny Cash Show" where he sang a duet with Cash entitled "Goin' Up Goin' Down". Cash said the song was written by Kris Kristofferson about Hopper. Hopper added that Kristofferson had written some songs for his Peruvian-shot movie "The Last Movie", in which Kristofferson appeared in his debut role with Julie Adams. Hopper also recited Rudyard Kipling's famous poem If— during his appearance. Hopper teamed with Nike in the early 1990s to make a series of television commercials. He appeared as a "crazed referee" in those ads. He portrayed villain Victor Drazen in the first season of the popular action drama 24. Hopper appeared on the final two episodes of the cult 1991 television show Fishing with John with host John Lurie. Hopper starred as a U.S. Army colonel in the 2005 television series E-Ring, a drama set at The Pentagon, but the series was canceled after 14 episodes aired. Hopper appeared in all 22 episodes that were filmed. He also played the part of record producer Ben Cendars in the Starz television series Crash, which lasted two seasons (26 episodes). Photography and art Hopper had several artistic pursuits beyond film. He was a prolific photographer, painter, and sculptor. Hopper's fascination with art began with painting lessons at the Nelson-Atkins Museum while still a child in Kansas City, Missouri. Early in his career, he painted and wrote poetry, though many of his works were destroyed in the 1961 Bel Air Fire, which burned hundreds of homes, including his and his wife's, on Stone Canyon Road in Bel Air. His painting style ranges from abstract impressionism to photorealism and often includes references to his cinematic work and to other artists. Ostracized by the Hollywood film studios due to his reputation for being a "difficult" actor, Hopper turned to photography in 1961 with a camera bought for him by his first wife Brooke Hayward. During this period he created the cover art for the Ike & Tina Turner album River Deep – Mountain High (released in 1966). He became a prolific photographer, and noted writer Terry Southern profiled Hopper in Better Homes and Gardens as an up-and-coming photographer "to watch" in the mid-1960s. Hopper's early photography is known for portraits from the 1960s, and he began shooting portraits for Vogue and other magazines. His photographs of Martin Luther King, Jr.'s 1963 March on Washington and the 1965 civil-rights march in Selma, Alabama, were published. His intimate and unguarded images of Andy Warhol, Jane Fonda, The Byrds, Paul Newman, Jasper Johns, Claes Oldenburg, Robert Rauschenberg, James Brown, Peter Fonda, Ed Ruscha, the Grateful Dead, Michael McClure, and Timothy Leary, among others, became the subject of gallery and museum shows and were collected in several books, including "1712 North Crescent Heights." The book, whose title refers to the house where he lived with Hayward in the Hollywood Hills in the 1960s, was edited by his daughter Marin Hopper. In 1960–67, before the making of Easy Rider, Hopper created 18,000 images that chronicled the remarkable artists, musicians, actors places, happenings, demonstrations, and concerts of that period. Dennis Hopper: Photographs 1961–1967 was published in February 2011, by Taschen. German film director Wim Wenders said of Hopper that if “he’d only been a photographer, he’d be one of the great photographers of the twentieth century.” In The New Yorker, Hopper, as photographer, was described as "a compelling, important, and weirdly omnipresent chronicler of his times." Hopper began working as a painter and a poet as well as a collector of art in the 1960s as well, particularly Pop Art. Over his lifetime he amassed a formidable array of 20th- and 21st-century art, including many of Julian Schnabel's works (such as a shattered-plate portrait of Hopper); numerous works from his early cohorts, such as Ed Ruscha, Edward Kienholz, Roy Lichtenstein (Sinking Sun, 1964), and Warhol (Double Mona Lisa, 1963); and pieces by contemporary artists such as Damien Hirst and Robin Rhode. He was involved in L.A.'s Ferus and Virginia Dwan galleries in the 1960s, and he was a longtime friend and supporter to New York dealer Tony Shafrazi. One of the first art works Hopper owned was an early print of Andy Warhol's Campbell's Soup Cans bought for US$75. Hopper also once owned Warhol's Mao, which he shot one evening in a fit of paranoia, the two bullet holes possibly adding to the print's value. The print sold at Christie's, New York, for US$302,500 in January 2011. The proceeds of the two-day sale of some 300 pieces from Hopper's collection at Christie's went to his four children. During his lifetime, Hopper's own work as well as his collection was shown in monographic and group exhibitions around the world including the Corcoran Gallery of Art, Washington D.C.; Walker Art Center, Minneapolis, Minnesota; the Stedelijk Museum, Amsterdam; the State Hermitage Museum, St. Petersburg; MAK Vienna: Austrian Museum of Applied Arts/Contemporary Art, Vienna; the Whitney Museum of American Art, New York; and the Cinémathèque Française, Paris, and the Australian Centre for the Moving Image, Melbourne. In March 2010, it was announced that Hopper was on the "short list" for Jeffrey Deitch's inaugural show at the Museum of Contemporary Art, Los Angeles (MOCA). In April 2010, Deitch confirmed that Hopper's work, curated by Julian Schnabel, will indeed be the focus of his debut at MOCA. The title of the exhibition, Double Standard, was taken from Hopper's iconic 1961 photograph of the two Standard Oil signs seen through an automobile windshield at the intersection of Santa Monica Boulevard, Melrose Avenue, and North Doheny Drive on historic Route 66 in Los Angeles. The image was reproduced on the invitation for Ed Ruscha's second solo exhibition at Ferus Gallery in 1964. In 2011, Barricade Books published film historian Peter L. Winkler's biography, Dennis Hopper: The Wild Ride of a Hollywood Rebel. In 2013, Harper Collins published Hopper: A Journey into the American Dream, a biography by American writer Tom Folsom. On the Gorillaz album Demon Days, Hopper narrates the song "Fire Coming Out of the Monkey's Head". In the late 1980s, Hopper purchased a trio of nearly identical two-story, loft-style condominiums at 330 Indiana Avenue in Venice Beach, California – one made of concrete, one of plywood, and one of green roofing shingles – built by Frank Gehry and two artist friends of Hopper's, Chuck Arnoldi and Laddie John Dill, in 1981. In 1987, he commissioned an industrial-style main residence, with a corrugated metal exterior designed by Brian Murphy, as a place to display his artwork. Personal life According to Rolling Stone magazine, Hopper was "one of Hollywood's most notorious drug addicts" for 20 years. He spent much of the 1970s and early 1980s living as an "outcast" in Taos, New Mexico after the success of Easy Rider. Hopper was also "notorious for his troubled relationships with women", including Michelle Phillips, who divorced him after eight days of marriage. Hopper was married five times: Brooke Hayward, married 1961 – divorced 1969, 1 child, daughter Marin Hopper (b. 1962) Michelle Phillips; married October 31, 1970 – divorced November 8, 1970 Daria Halprin; married 1972 – divorced 1976, 1 child, daughter Ruthanna Hopper (b. 1972) Katherine LaNasa; married June 17, 1989 – divorced April 1992, 1 child, son Henry Lee Hopper (b. 1990) Victoria Duffy; married April 13, 1996 – separated January 12, 2010, 1 child, daughter Galen Grier Hopper (b. 2003) Hopper has been widely reported to be the godfather of actress Amber Tamblyn; in a 2009 interview with Parade, Tamblyn explained that "godfather" was "just a loose term" for Hopper, Dean Stockwell and Neil Young, three famous friends of her father's, who were always around the house when she was growing up, and who were big influences on her life. In 1994, Rip Torn filed a defamation lawsuit against Hopper over a story Hopper told on The Tonight Show with Jay Leno. Hopper claimed that Torn pulled a knife on him during pre-production of the film Easy Rider. According to Hopper, Torn was originally cast in the film but was replaced with Jack Nicholson after the incident. According to Torn's suit, it was actually Hopper who pulled the knife on him. A judge ruled in Torn's favor and Hopper was ordered to pay US$475,000 in damages. Hopper then appealed but the judge again ruled in Torn's favor and Hopper was required to pay another US$475,000 in punitive damages. According to Newsmeat, Hopper donated US$2,000 to the Republican National Committee in 2004 and an equal amount in 2005. Hopper was honored with the rank of commander of France's National Order of Arts and Letters, at a ceremony in Paris. Despite being a Republican, Hopper supported Barack Obama in the 2008 presidential election. Hopper confirmed this in an election day appearance on the ABC daytime show The View. He said his reason for not voting Republican was the selection of Sarah Palin as the Republican vice presidential candidate. Divorce from Victoria Duffy On January 14, 2010, Hopper filed for divorce from his fifth wife Victoria Duffy. After citing her "outrageous conduct" and stating she was "insane", "inhuman" and "volatile", Hopper was granted a restraining order against her on February 11, 2010, and as a result, she was forbidden to come within of him or contact him. On March 9, 2010, Duffy refused to move out of the Hopper home, despite the court's order that she do so by March 15. On March 23, 2010, he filed papers in court alleging Duffy had absconded with US$1.5 million of his art, refused his requests to return it, and then had "left town". On April 5, 2010, a court ruled that Duffy could continue living on Hopper's property, and that he must pay US$12,000 per month spousal and child support for their daughter Galen. Hopper did not attend the hearing. On May 12, 2010, a hearing was held before Judge Amy Pellman in downtown Los Angeles Superior Court. Though Hopper died two weeks later, Duffy insisted at the hearing that he was well enough to be deposed. The hearing also dealt with whom to designate on Hopper's life insurance policy, which listed his wife as a beneficiary. A very ill Hopper did not appear in court though his estranged wife did. Despite Duffy's bid to be named the sole beneficiary of Hopper's million-dollar policy, the judge ruled against her and limited her claim to one-quarter of the policy. The remaining US$750,000 was to go to his estate. On November 14, 2010, it was revealed that, despite Duffy's earlier assertion in her court papers of February 2010 that Hopper was mentally incompetent and that his children had rewritten his estate plan in order to leave Duffy and her daughter, Hopper's youngest child Galen, destitute, Galen would in fact receive the proceeds of 40% of his estate. Illness and death On September 28, 2009, Hopper, then 73, was reportedly taken by ambulance to an unidentified Manhattan hospital wearing an oxygen mask and "with numerous tubes visible". On October 2, he was discharged, after receiving treatment for dehydration. On October 29, 2009, Hopper's manager Sam Maydew reported that he had been diagnosed with advanced prostate cancer. In January 2010, it was reported that Hopper's cancer had metastasized to his bones. On March 18, 2010, he was honored with the 2,403rd star on the Hollywood Walk of Fame in front of Grauman's Egyptian Theatre on Hollywood Boulevard. Surrounded by friends including Jack Nicholson, Viggo Mortensen, David Lynch, Michael Madsen, family and fans, he attended its addition to the sidewalk six days later. By March 2010, Hopper reportedly weighed only and was unable to carry on long conversations. According to papers filed in his divorce court case, Hopper was terminally ill and was unable to undergo chemotherapy to treat his prostate cancer. Hopper died at his home in the coastal Venice district of Los Angeles, aged 74, on the morning of May 29, 2010. His funeral took place on June 3, 2010, at San Francisco de Asis Mission Church in Ranchos de Taos, New Mexico. His body was buried at the Jesus Nazareno Cemetery in Ranchos de Taos. The film Alpha and Omega, which was among his last film roles, was dedicated to him, as was the 2011 film Restless, which starred his son Henry Hopper. Notable filmography Rebel Without a Cause (1955) as Goon Giant (1956) as Jordan Benedict III Gunfight at the O.K. Corral (1957) as Billy Clanton Night Tide (1961) as Johnny Drake The Sons of Katie Elder (1965) as Dave Hastings Cool Hand Luke (1967) as Babalugats Easy Rider (1969) as Billy – Also writer-director True Grit (1969) as Moon The Last Movie (1971) as Kansas – Also writer-director Mad Dog Morgan * Kid Blue (1973) (1976) as Daniel Morgan The American Friend (1977) as Tom Ripley Apocalypse Now (1979) as The Photojournalist Out of the Blue (1980) as Don – Also director Rumble Fish (1983) as Father The Texas Chainsaw Massacre 2 (1986) as Lefty Enright Blue Velvet (1986) as Frank Booth Hoosiers (1986) as Shooter Colors (1988) – As director Catchfire (1990) as Milo – Also director The Indian Runner (1991) as Caesar Super Mario Bros. (1993) as King Koopa True Romance (1993) as Clifford Worley Speed (1994) as Howard Payne Waterworld (1995) as Deacon Basquiat (1996) as Bruno Bischofberger EDtv (1999) as Hank Pekumy Land of the Dead (2005) as Kaufman Elegy (2008) as George O'Hearn Palermo Shooting (2008) as Frank The Other Side of the Wind (2018) as Himself Other works Books Dennis Hopper: Out of the Sixties, Twelvetrees Press (1986) 1712 North Crescent Heights, Greybull Press (2001) Dennis Hopper: A System of Moments, Hartje Cantz (2001) Dennis Hopper: Photographs, 1961–1967, Taschen (2009) Dennis Hopper: The Lost Album, Prestel Verlag (2014) Dennis Hopper: Drugstore Camera, Damiani (2015) Dennis Hopper: Colors, the Polaroids, Damiani (2016) Dennis Hopper: In Dreams: Scenes from the Archives, Damiani (2019) Exhibitions Solo exhibition of assemblages, Primus-Stuart Gallery, Los Angeles (1963) Los Angeles Now group exhibition, Robert Fraser Gallery, London (1966) Bomb Drop, Pasadena Art Museum, Pasadena (1968) Dennis Hopper: Black and White Photographs, Fort Worth Museum of Art, Fort Worth (1970) Dennis Hopper: Black and White Photographs, Corcoran Gallery of Art, Washington, DC (1971) Dennis Hopper and Ed Ruscha, Tony Shafrazi Gallery, New York (1992) Dennis Hopper: A System of Moments, Museum für angewandte Kunst, Vienna (2001) Dennis Hopper: Double Standard, Museum of Contemporary Art (MOCA), Los Angeles (2010) The Lost Album, Gagosian, New York (2013) The Lost Album, Royal Academy of Arts, London (2014) Archive The moving image collection of Dennis Hopper is held at the Academy Film Archive. The Dennis Hopper Trust Collection represents Hopper's directorial efforts. Awards and nominations References Bibliography "Dennis Hopper, Riding High", Playboy (Chicago), Dec. 1969 Interview with G. O'Brien and M. Netter, in Inter/View (New York), Feb. 1972 Interview in Cahiers du Cinema (Paris), July–August 1980 "How Far to the Last Movie?", Monthly Film Bulletin (London) Oct. 1982 "Citizen Hopper", interview with C. Hodenfield, in Film Comment (New York) Nov/Dec. 1986 Interview with B. Kelly, in American Film (Los Angeles) March 1988 Interview with David Denicolo, in Interview (New York), Feb. 1990 "Sean Penn", interview with Julian Schnabel and Dennis Hopper, Interview (New York) Sept. 1991 "Gary Oldman", in Interview (New York), Jan. 1992 Further reading Books Biskind, Peter. Easy Riders, Raging Bulls: How the Sex-Drugs-and-Rock 'N' Roll Generation Saved Hollywood, Simon and Schuster (1999) Hoberman, J. Dennis Hopper: From Method to Madness, Walker Art Center (1988) Krull, Craig. "Photographing the LA Art Scene: 1955–1975", Craig Krull Gallery (1996) Rodriguez, Elean. Dennis Hopper: A Madness to his Method, St. Martin's Press (1988) Dennis Hopper: Photographs 1961–1967, Taschen (2011) Winkler, Peter L. "Dennis Hopper: The Wild Ride of a Hollywood Rebel", Barricade Books (2011) Folsom, Tom. "Hopper: A Journey into the American Dream," It Books/HarperCollins (2013) Articles Algar, N., "Hopper at Birmingham", in Sight and Sound (London), Summer 1982 Burke, Tom, "Dennis Hopper Saves the Movies", in Esquire (New York), Dec. 1970 Burns, Dan E., "Dennis Hopper's The Last Movie: Beginning of the End", in Literature/Film Quarterly, 1979 Herring, H. D., "Out of the Dream and into the Nightmare: Dennis Hopper's Apocalyptic Vision of America", in Journal of Popular Film (Washington, D.C.), Winter 1983 Macklin, F. A., "Easy Rider: The Initiation of Dennis Hopper", in Film Heritage (Dayton, Ohio), Fall 1969 Martin, A., "Dennis Hopper: Out of the Blue and into the Black", in Cinema Papers (Melbourne), July 1987 Scharres, B., "From Out of the Blue: The Return of Dennis Hopper" in Journal of the University Film and Video Assoc. (Carbondale, IL), Spring 1983 Weber, Bruce, "A Wild Man is Mellowing, Albeit Not on Screen", in New York Times, September 8, 1994 External links Dennis Hopper Exhibition History Dennis Hopper: Life & Times – slideshow by Life 1936 births 2010 deaths American male film actors American male screenwriters American male television actors Film directors from California Film directors from Missouri Male actors from Greater Los Angeles Male actors from San Diego Photographers from California American people of Scottish descent American people of Welsh descent Kansas Republicans Deaths from cancer in California American male voice actors Deaths from prostate cancer Kansas City Art Institute alumni People from Dodge City, Kansas Male actors from Kansas City, Missouri People from Taos, New Mexico People from Topanga, California 20th-century American male actors 21st-century American male actors 20th-century American writers Writers from Kansas City, Missouri Male actors from Kansas Film directors from New Mexico Film directors from Kansas Screenwriters from California Screenwriters from New Mexico California Republicans People from Bel Air, Los Angeles Method actors
8799
https://en.wikipedia.org/wiki/D.%20B.%20Cooper
D. B. Cooper
D. B. Cooper is a media epithet used to refer to an unidentified man who hijacked a Boeing 727 aircraft in United States airspace on the afternoon of November 24, 1971. The aircraft was operated by Northwest Orient Airlines and was flying from Portland, Oregon, to Seattle, Washington. The hijacker extorted $200,000 in ransom (), asked to be flown to Reno, Nevada, then parachuted to an uncertain fate over southwestern Washington part-way through the second flight. A small portion of the ransom was found along the banks of the Columbia River in 1980, which triggered renewed interest but ultimately only deepened the mystery; the great majority of the ransom remains unrecovered. The man purchased his airline ticket using the alias Dan Cooper but, because of a news miscommunication, became known in popular lore as D. B. Cooper. The Federal Bureau of Investigation (FBI) maintained an active investigation for 45 years after the hijacking. Despite compiling an extensive case file over that period, no definitive conclusions were reached regarding Cooper's true identity or fate. The crime remains the only unsolved case of air piracy in commercial aviation history. Numerous theories of widely varying plausibility have been proposed over the years by investigators, reporters, and amateur enthusiasts. The FBI's best guess is that Cooper did not survive the jump, for several reasons: the rainy and dangerous conditions for skydiving on the night of the hijacking; Cooper's lack of proper equipment; the landing area being a wilderness; the apparent lack of detailed knowledge Cooper had of his landing area; and the rest of the ransom money never turning up even after decades, suggesting it was never spent. The FBI officially suspended active investigation of the case in July 2016. The hijacking had major implications for commercial aviation and airport security. Cooper's brazen hijacking, and a slew of Cooper imitators in the following year, caused security procedure to become stricter. Metal detectors and compulsory searching of baggage became standard, and paying for flights the same day of their departure with cash became a cause for scrutiny. Aircraft design was modified with Cooper vanes that would prevent the aft staircase from being lowered while in flight. By 1973, the pace of hijackings greatly slowed as the new security measures successfully dissuaded would-be hijackers whose motive was only money. Hijacking On Thanksgiving eve, November 24, 1971, a middle-aged man carrying a black attaché case approached the flight counter of Northwest Orient Airlines at Portland International Airport. He identified himself as "Dan Cooper" and used cash to purchase a one-way ticket on , a thirty-minute trip north to Seattle–Tacoma International Airport (Sea–Tac). Cooper boarded the aircraft, a (FAA registration N467US), and took seat 18C (18E or 15D by other accounts) and ordered a drink: bourbon and soda. Eyewitnesses described Cooper as being in his mid-40s, wearing a business suit with a black tie and white shirt. Flight 305, approximately one-third full, departed Portland on schedule at 2:50 p.m. PST. Shortly after takeoff, Cooper handed a note to Florence Schaffner, the flight attendant situated nearest to him in a jump seat attached to the aft stair door. Schaffner, assuming the note contained a lonely businessman's phone number, dropped it unopened into her purse. Cooper leaned toward her and whispered, "Miss, you'd better look at that note. I have a bomb." The note was printed in neat, all-capital letters with a felt-tip pen. Its exact wording is unknown, because Cooper later reclaimed it, but Schaffner recalled that it mentioned the bomb and directed her to sit in the seat beside Cooper. Schaffner did as requested, then quietly asked to see the bomb. Cooper opened his briefcase long enough for her to glimpse eight red cylinders in two rows of four, assumed to be dynamite. A wire was attached to the cylinders, and a large cylindrical battery was in the briefcase as well. After closing the briefcase, he stated his demands: $200,000 in "negotiable American currency"; four parachutes (two primary and two reserve); and a fuel truck standing by in Seattle to refuel the aircraft upon arrival. Schaffner conveyed Cooper's instructions to the pilots in the cockpit; when she returned, Cooper was wearing dark sunglasses. The captain, William A. Scott, contacted Seattle–Tacoma Airport air traffic control, which informed local and federal authorities. The 35 other passengers were told that their arrival in Seattle would be delayed because of a "minor mechanical difficulty". Northwest Orient's president, Donald Nyrop, authorized payment of the ransom and ordered all employees to cooperate fully with the hijacker's demands. The aircraft circled Puget Sound for approximately two hours to allow Seattle police and the Federal Bureau of Investigation (FBI) sufficient time to assemble Cooper's parachutes and ransom money, and to mobilize emergency personnel. Flight attendant Tina Mucklow recalled that Cooper appeared familiar with the local terrain; at one point he remarked, "Looks like Tacoma down there", as the aircraft flew above it. He also correctly mentioned that McChord Air Force Base was only a twenty-minute drive (at that time) from Seattle Tacoma Airport. Schaffner described Cooper as calm, polite and well-spoken; not consistent with the stereotypes (enraged, hardened criminals or "take-me-to-Cuba" political dissidents) popularly associated with air piracy at the time. "He wasn't nervous", Mucklow told investigators. "He seemed rather nice. He was never cruel or nasty. He was thoughtful and calm all the time." As Schaffner grasped the enormity of what was happening, Cooper reassured her. He ordered a second bourbon and soda, paid his drink tab (and attempted to give Mucklow the change), and requested meals for the flight crew during the stop in Seattle. Mucklow asked Cooper if he had a grudge with Northwest Orient; Cooper replied, "I don't have a grudge against your airline, Miss. I just have a grudge." FBI agents assembled the ransom money from several Seattle-area banks—10,000 unmarked twenty-dollar bills, most with serial numbers beginning with the letter "L" indicating issuance by the Federal Reserve Bank of San Francisco, and most from the 1963A or 1969 series—and made a microfilm photograph of each of them. Cooper rejected the military-issue parachutes offered by McChord AFB personnel, instead demanding four civilian parachutes with manually operated ripcords. Seattle police obtained them from a local skydiving school. Passengers released At 5:24 p.m. PST, Cooper was informed that his demands had been met; and at 5:39 p.m., more than an hour after sunset, the aircraft landed at Seattle Tacoma Airport in heavy rain. Cooper instructed Scott to taxi the jet to an isolated, brightly lit section of the apron and close all window shades in the cabin to deter police snipers. Northwest Orient's Seattle operations manager, Al Lee, approached the aircraft in street clothes (to avoid the possibility that Cooper might mistake his airline uniform for that of a police officer) and delivered the cash-filled knapsack and parachutes to Mucklow via the aft stairs. Once the delivery was completed, Cooper allowed all passengers, Schaffner, and senior flight attendant Alice Hancock to leave the plane. The refueling process was delayed; a second and later third truck was brought in to complete refueling. An FAA official requested a face-to-face meeting with Cooper aboard the aircraft, which was denied. Cooper grew impatient, saying, "This shouldn't take so long", and sent a note to the crew saying, "Let's get this show on the road." Cooper outlined his flight plan to the cockpit crew: a southeast course toward Mexico City at the minimum airspeed possible without stalling the aircraft—approximately —at a maximum altitude. He further specified that the landing gear remain deployed in the takeoff/landing position, the wing flaps be lowered 15 degrees, and the cabin remain unpressurized. First officer William J. Rataczak informed Cooper that the aircraft's range was limited to approximately under the specified flight configuration, which meant that a second refueling would be necessary before entering Mexico. Cooper and the crew discussed options and agreed on Reno–Tahoe International Airport as the refueling stop. Cooper further directed that the aircraft take off with the rear exit door open and its airstair extended. Northwest's home office objected, on grounds that it was unsafe to take off with the aft staircase deployed. Cooper eventually decided he would lower it once they were airborne, and asked Mucklow to show him how to operate the stairs. Back in the air At approximately 7:40 p.m., the took off with only Cooper, Mucklow, Captain Scott, First Officer Rataczak, and Flight Engineer Harold E. Anderson on board. Two F-106 fighter aircraft from McChord AFB followed behind the airliner, one above it and one below, out of Cooper's view. A Lockheed T-33 trainer, diverted from an unrelated Air National Guard mission, also shadowed the 727 before running low on fuel and turning back near the Oregon–California state line. After takeoff, Cooper told Mucklow to join the rest of the crew in the cockpit and remain there with the door closed. As she complied, Mucklow observed Cooper preparing the parachutes. At approximately 8:00 p.m., a warning light flashed in the cockpit, indicating that the aft airstair apparatus had been activated. The pilots asked on the cabin intercom if Cooper needed assistance. Cooper picked up the cabin phone and replied, "No." This was the last message heard from Cooper. The crew soon noticed a subjective change of air pressure, indicating that the aft door was open. At approximately 8:13 p.m., the aircraft's tail section sustained a sudden upward movement, large enough to require trimming to bring the plane back to level flight. At some point between 10:00 and 11:30 p.m., the 727 landed, with the aft airstair still deployed, at Reno–Tahoe International Airport. FBI agents, state troopers, sheriff's deputies, and Reno police were on hand, although they did not approach the plane in case the bomb was still live. Captain Scott confirmed Cooper was no longer aboard, and an FBI bomb squad reported the cabin was clean after a thirty-minute sweep. Investigation FBI agents recovered 66 unidentified latent fingerprints aboard the airliner. The agents also found Cooper's black clip-on tie, his tie clip and two of the four parachutes, one of which had been opened and two shroud lines cut from the canopy. Authorities interviewed eyewitnesses in Portland, Seattle and Reno. A series of composite sketches was developed. Local police and FBI agents immediately began questioning possible suspects. One of the first was an Oregon man with a minor police record named D. B. Cooper, contacted by Portland police on the off-chance that the hijacker had used his real name or the same alias in a previous crime. He was quickly ruled out as a suspect; but a local reporter named James Long, rushing to meet an imminent deadline, confused the eliminated suspect's name with the pseudonym used by the hijacker. A wire service reporter (Clyde Jabin of UPI by most accounts) republished the error, followed by other media sources. "D. B. Cooper" became the most widely remembered pseudonym. A precise search area was difficult to define, as even small differences in estimates of the aircraft's speed, or the environmental conditions along the flight path (which varied by location and altitude), changed Cooper's projected landing point considerably. An important variable was the length of time Cooper remained in free fall before pulling his ripcord. Neither of the Air Force F-106 pilots saw anything exit the airliner, either visually or on radar, nor did they see a parachute open; but at night, with extremely limited visibility and cloud cover obscuring any ground lighting below, an airborne black-clad human figure could easily have gone undetected. The T-33 pilots never made visual contact with the 727. In an experimental re-creation, with the same aircraft used in the hijacking in the same flight configuration, FBI agents pushed a sled out of the open airstair and were able to reproduce the upward motion of the tail section and brief change in cabin pressure described by the flight crew at 8:13 p.m. It was concluded that 8:13 p.m. was the most likely jump time. At that moment the aircraft was flying through a heavy rainstorm over the Lewis River in southwestern Washington. Initial extrapolations placed Cooper's landing zone within an area on the southernmost outreach of Mount St. Helens, a few miles southeast of Ariel, Washington, near Lake Merwin, an artificial lake formed by a dam on the Lewis River. Search efforts focused on Clark and Cowlitz counties, encompassing the terrain immediately south and north, respectively, of the Lewis River in southwest Washington. FBI agents and sheriff's deputies from those counties searched large areas of the mountainous wilderness on foot and by helicopter. Door-to-door searches of local farmhouses were also carried out. Other search parties ran patrol boats along Lake Merwin and Yale Lake, the reservoir immediately to its east. No trace of Cooper, nor any of the equipment presumed to have left the aircraft with him, was found. The FBI also coordinated an aerial search, using fixed-wing aircraft and helicopters from the Oregon Army National Guard, along the entire flight path (known as Victor 23 in U.S. aviation terminology but "Vector 23" in most Cooper from Seattle to Reno. Although numerous broken treetops and several pieces of plastic and other objects resembling parachute canopies were sighted and investigated, nothing relevant to the hijacking was found. Shortly after the spring thaw in early 1972, teams of FBI agents aided by some 200 United States Army soldiers from Fort Lewis, along with United States Air Force personnel, National Guardsmen, and civilian volunteers, conducted another thorough ground search of Clark and Cowlitz counties for eighteen days in March, and then an additional eighteen days in April. Electronic Explorations Company, a marine salvage firm, used a submarine to search the depths of Lake Merwin. Two local women stumbled upon a skeleton in an abandoned structure in Clark County; it was later identified as the remains of Barbara Ann Derry, a teenaged girl who had been abducted and murdered several weeks before. Ultimately, the extensive search and recovery operation uncovered no significant material evidence related to the hijacking. Search for ransom money A month after the hijacking, the FBI distributed lists of the ransom serial numbers to financial institutions, casinos, racetracks, and other businesses that routinely conducted large cash transactions, and to law enforcement agencies around the world. Northwest Orient offered a reward of 15% of the recovered money, to a maximum of $25,000. In early 1972 U.S. Attorney General John N. Mitchell released the serial numbers to the general public. Two men used counterfeit twenty-dollar bills printed with Cooper serial numbers to swindle $30,000 from a Newsweek reporter named Karl Fleming in exchange for an interview with a man they falsely claimed was the hijacker. In early 1973, with the ransom money still missing, The Oregon Journal republished the serial numbers and offered $1,000 to the first person to turn in a ransom bill to the newspaper or any FBI field office. In Seattle, the Post-Intelligencer made a similar offer with a $5,000 reward. The offers remained in effect until Thanksgiving 1974, and though there were several near-matches, no genuine bills were found. In 1975 Northwest Orient's insurer, Global Indemnity Co., complied with an order from the Minnesota Supreme Court and paid the airline's $180,000 claim on the ransom money. Later developments Subsequent analyses indicated that the original landing zone estimate was inaccurate: Captain Scott, who was flying the aircraft manually because of Cooper's speed and altitude demands, later determined that his flight path was farther east than initially assumed. Additional data from a variety of sources—in particular Continental Airlines pilot Tom Bohan, who was flying four minutes behind Flight 305—indicated that the wind direction factored into drop zone calculations had been wrong, possibly by as much as 80 degrees. This and other supplemental data suggested that the actual drop zone was south-southeast of the original estimate, in the drainage area of the Washougal River. FBI Agent Ralph Himmelsbach wrote, "I have to confess, if I [were] going to look for Cooper, I would head for the Washougal." The Washougal Valley and its surroundings have been searched repeatedly by private individuals and groups in subsequent years; to date, no discoveries traceable to the hijacking have been reported. Some investigators have speculated that the 1980 eruption of Mount St. Helens could have obliterated any remaining physical clues. Investigation suspended On July 8, 2016, the FBI announced that it was suspending active investigation of the Cooper case, citing a need to focus its investigative resources and manpower on issues of higher and more urgent priority. Local field offices will continue to accept any legitimate physical evidence, related specifically to the parachutes or to the ransom money, that may emerge in the future. The 66-volume case file compiled over the 45-year course of the investigation will be preserved for historical purposes at FBI headquarters in Washington, D.C., and on the FBI website. All of the evidence is open to the public. The crime remains the only unsolved case of air piracy in commercial aviation history. Physical evidence Three major pieces of evidence were found on the plane: a black clip-on tie, a mother-of-pearl tie clip, and eight filter-tipped Raleigh cigarette butts. At some time after the hijacking, the cigarette butts were lost. In November 1978, a placard printed with instructions for lowering the aft stairs of a 727 was found by a deer hunter near a logging road about east of Castle Rock, Washington, well north of Lake Merwin, but within Flight 305's basic flight path. Recovered ransom money On February 10, 1980, eight-year-old Brian Ingram was vacationing with his family on the Columbia River at a beachfront known as Tina (or Tena) Bar, about downstream from Vancouver, Washington, and southwest of Ariel. He uncovered three packets of the ransom cash totaling around $5,800 as he raked the sandy riverbank to build a campfire. The bills had disintegrated from lengthy exposure to the elements, but were still bundled in rubber bands. FBI technicians confirmed that the money was indeed a portion of the ransom: two packets of 100 twenty-dollar bills each, and a third packet of 90, all arranged in the same order as when given to Cooper. The discovery launched several new rounds of conjecture and ultimately raised more questions than it answered. Initial statements by investigators and scientific consultants were founded on the assumption that the bundled bills washed freely into the Columbia River from one of its many connecting tributaries. An Army Corps of Engineers hydrologist noted that the bills had disintegrated in a "rounded" fashion and were matted together, indicating that they had been deposited by river action, as opposed to having been deliberately buried. That conclusion, if correct, supported the opinion that Cooper had not landed near Lake Merwin nor any tributary of the Lewis River, which feeds into the Columbia well downstream from Tina Bar. It also lent credence to supplemental speculation that placed the drop zone near the Washougal River, which merges with the Columbia upstream from the discovery site. The "free-floating" hypothesis presented difficulties; it did not explain the ten bills missing from one packet, nor was there a logical reason that the three packets would have remained together after separating from the rest of the money. Physical evidence was incompatible with geologic evidence: Himmelsbach wrote that free-floating bundles would have had to wash up on the bank "within a couple of years" of the hijacking; otherwise the rubber bands would have long since deteriorated. Geological evidence suggested, however, that the bills arrived at Tina Bar well after 1974, the year of a Corps of Engineers dredging operation on that stretch of the river. Geologist Leonard Palmer of Portland State University found two distinct layers of sand and sediment between the clay deposited on the riverbank by the dredge and the sand layer in which the bills were buried, indicating that the bills arrived long after dredging had been completed. In late 2020, analysis of diatoms found on the bills suggests that the bundles found at Tina Bar were not submerged in the river or buried dry at the time of the hijacking in November 1971. Only diatoms that bloom during springtime were found, placing the date range that the money entered the water at least several months after the hijacking. In 1986, after protracted negotiations, the recovered bills were divided equally between Ingram and Northwest Orient's insurer; the FBI retained fourteen examples as evidence. Ingram sold fifteen of his bills at auction in 2008 for about $37,000. To date, none of the 9,710 remaining bills have turned up anywhere. Their serial numbers are available online for public search. The Columbia River ransom money and the airstair instruction placard remain the only confirmed physical evidence from the hijacking ever found outside the aircraft. Subsequent FBI disclosures In late 2007, the FBI announced that a partial DNA profile had been obtained from samples found on Cooper's tie in 2001, though they later acknowledged that there is no evidence that the hijacker was the source of the sample material. "The tie had two small DNA samples, and one large sample", said Special Agent Fred Gutt. "It's difficult to draw firm conclusions from these samples." The Bureau also made public a file of previously unreleased evidence, including Cooper's 1971 plane ticket, and posted previously unreleased composite sketches and fact sheets, along with a request to the general public for information which might lead to Cooper's positive identification. The FBI also disclosed that Cooper had chosen the older of the two primary parachutes supplied to him, rather than the technically superior professional sport parachute, and that from the two reserve parachutes, he selected a "dummy", an unusable unit with an inoperative ripcord intended for classroom demonstrations, although it had clear markings identifying it to any experienced skydiver as non-functional. (He cannibalized the other, functional reserve parachute, possibly using its shrouds to tie the money bag shut.) The FBI stressed that inclusion of the dummy reserve parachute, one of four obtained in haste from a Seattle skydiving school, was accidental. In March 2009, the FBI disclosed that Tom Kaye, a paleontologist from the Burke Museum of Natural History and Culture in Seattle, had assembled a team of "citizen sleuths", including scientific illustrator Carol Abraczinskas and metallurgist Alan Stone. The group, eventually known as the Cooper Research Team, reinvestigated important components of the case using GPS, satellite imagery, and other technologies unavailable in 1971. Although they gained little new information about the buried ransom money or Cooper's landing zone, they were able to find and analyze hundreds of minute particles on Cooper's tie using electron microscopy. Lycopodium spores (likely from a pharmaceutical product) were identified, as well as fragments of bismuth and aluminum. In November 2011, Kaye announced that particles of pure (unalloyed) titanium had also been found on the tie. He explained that titanium, which was much rarer in the 1970s than in the 2010s, was at that time found only in metal fabrication or production facilities, or at chemical companies using it (combined with aluminum) to store extremely corrosive substances. The findings weakly suggested that Cooper might have worked in a metal or chemical manufacturing plant. In January 2017, Kaye reported that rare earth minerals such as cerium and strontium sulfide had also been identified among particles from the tie. One of the rare applications for such elements in the 1970s was Boeing's supersonic transport development project, suggesting the possibility that Cooper was a Boeing employee. Other possible sources of the material included factories that manufactured cathode ray tubes, such as the Portland firms Teledyne and Tektronix. Theories, hypotheses and conjecture Over the 45-year span of its active investigation, the FBI periodically made public some of its working hypotheses and tentative conclusions, drawn from witness testimony and the scarce physical evidence. Suspect profiling The official physical description of Cooper has remained unchanged and is considered reliable. Flight attendants Schaffner and Mucklow, who spent the most time with Cooper, were interviewed on the same night in separate cities, and gave nearly identical descriptions: around tall, , mid-40s, with close-set piercing brown eyes and swarthy skin. Cooper appeared to be familiar with the Seattle area and may have been an Air Force veteran, based on testimony that he recognized the city of Tacoma from the air as the jet circled Puget Sound, and his accurate comment to Mucklow that McChord Air Force Base was approximately twenty minutes' driving time from Seattle-Tacoma Airport—a detail most civilians would not know or comment upon. His financial situation was very likely desperate. According to the FBI's retired chief investigator, Ralph Himmelsbach, extortionists and other criminals who steal large amounts of money nearly always do so because they need it urgently; otherwise, the crime is not worth the considerable risk. Alternatively, Cooper may have been "a thrill seeker" who made the jump "just to prove it could be done". Agents theorized that Cooper took his alias from a popular French-language Belgian comics series featuring the fictional hero Dan Cooper, a Royal Canadian Air Force test pilot who took part in numerous heroic adventures, including parachuting. (One cover from the series, reproduced on the FBI website, depicts test pilot Cooper skydiving.) Because the Dan Cooper comics were never translated into English, nor imported to the U.S., they speculated that he had encountered them during a tour of duty in Europe. Knowledge and planning Evidence suggested that Cooper was knowledgeable about flying technique, aircraft, and the local terrain. He demanded four parachutes to force the assumption that he might compel one or more hostages to jump with him, thus ensuring he would not be deliberately supplied with sabotaged equipment. Cooper chose a 727-100 aircraft because it was ideal for a bail-out escape, owing not only to its aft airstair but also to the high, aftward placement of all three engines, which allowed a reasonably safe jump despite the proximity of the engine exhaust. The 727 had "single-point fueling" capability, a then-recent innovation that allowed all tanks to be refueled rapidly through a single fuel port. It also had the ability (unusual for a commercial jet airliner) to remain in slow, low-altitude flight without stalling; Cooper knew how to control its airspeed and altitude without entering the cockpit, where he could have been overpowered by the three pilots. In addition, Cooper was familiar with important details, such as the appropriate flap setting of fifteen degrees (which was unique to that aircraft), and the typical refueling time. He knew that the airstair could be lowered during flight—a fact never disclosed to civilian flight crews, since there was no situation on a passenger flight that would make it necessary—and that its operation, by a single switch in the rear of the cabin, could not be overridden from the cockpit. He also may have known that the Central Intelligence Agency was, at the time, using 727s to drop agents and supplies behind enemy lines during the Vietnam War. Assuming that Cooper was not a paratrooper but was an Air Force veteran, Special Agent Larry Carr, who led the Cooper investigative team from 2006 until its dissolution in 2016, suggested the possibility that he was an aircraft cargo loader. Such an assignment would have given him knowledge and experience in the aviation field; and loaders—because they throw cargo out of flying aircraft—wear emergency parachutes and receive rudimentary jump training. Such training would have given Cooper a working knowledge of parachutes—but "not necessarily sufficient knowledge to survive the jump he made". Fate The FBI was skeptical of Cooper's odds of survival, concluding that he lacked crucial skydiving skills and experience. "We originally thought Cooper was an experienced jumper, perhaps even a paratrooper", said Carr. "We concluded after a few years this was simply not true. No experienced parachutist would have jumped in the pitch-black night, in the rain, with a wind in his face wearing loafers and a trench coat. It was simply too risky. He also missed that his reserve parachute was only for training and had been sewn shut, something a skilled skydiver would have checked." Cooper also failed to bring or request a helmet, chose to jump with the older and technically inferior of the two primary parachutes supplied to him, and jumped into a probable wind at in November over Washington state without proper protection against the extreme wind chill. The FBI speculated from the beginning that Cooper did not survive his jump. "Diving into the wilderness without a plan, without the right equipment, in such terrible conditions, he probably never even got his chute open", said Carr. Even if he did land safely, agents contended that survival in the mountainous terrain at the onset of winter would have been all but impossible without an accomplice at a predetermined landing point. This would have required a precisely timed jump—necessitating, in turn, cooperation from the flight crew. There is no evidence that Cooper requested or received any such help from the crew, nor that he had any clear idea where he was when he jumped into the stormy, overcast darkness. Statute of limitations In 1976, discussion arose over impending expiration of the statute of limitations on the hijacking. Most published legal analyses agreed that it would make little difference, as interpretation of the statute varies considerably from case to case and court to court, and a prosecutor could argue that Cooper had forfeited legal immunity on any of several valid technical grounds. The question was rendered moot in November when a Portland grand jury returned an indictment in absentia against "John Doe, aka Dan Cooper" for air piracy and violation of the Hobbs Act. The indictment formally initiated prosecution that can be continued, should the hijacker be apprehended at any time in the future. Suspects Between 1971 and 2016, the FBI processed more than a thousand "serious suspects", including assorted publicity seekers and deathbed confessors. Kenneth Peter Christiansen In 2003, Minnesota resident Lyle Christiansen watched a television documentary about the Cooper hijacking and became convinced that his late brother Kenneth (1926–1994) was Cooper. After repeated futile attempts to convince first the FBI, and then the author and film director Nora Ephron (who he hoped would make a movie about the case), he contacted a private investigator in New York City. In 2010, the detective, Skipp Porteous, published a book postulating that Christiansen was the hijacker. The following year, an episode of the History series Brad Meltzer's Decoded also summarized the circumstantial evidence linking Christiansen to the Cooper case. Christiansen enlisted in the Army in 1944 and was trained as a paratrooper. World War II had ended by the time he was deployed in 1945, but he made occasional training jumps while stationed in Japan with occupation forces in the late 1940s. After leaving the Army, he joined Northwest Orient in 1954 as a mechanic in the South Pacific and subsequently became a flight attendant, and then a purser, based in Seattle. Christiansen was 45 years old at the time of the hijacking, but he was shorter (5 ft 8 in or 173 cm), thinner (150 pounds or 68 kg), and lighter than eyewitness descriptions of Cooper. Christiansen smoked (as did the hijacker) and displayed a fondness for bourbon (the drink Cooper had requested). Schaffner told a reporter that photos of Christiansen fit her memory of the hijacker's appearance more closely than those of other suspects she had been shown, but could not conclusively identify him. Despite the publicity generated by Porteous's book and the 2011 television documentary, the FBI stands by its position that Christiansen cannot be considered a prime suspect. It cites the poor match to eyewitness physical descriptions, a level of skydiving expertise above that predicted by their suspect profile, and a complete absence of direct incriminating evidence. Jack Coffelt Bryant "Jack" Coffelt (1917–1975) was a con man, ex-convict, and purported government informant who claimed to have been the chauffeur and confidant of Abraham Lincoln's last undisputed descendant, great-grandson Robert Todd Lincoln Beckwith. In 1972 he began claiming he was Cooper, and attempted through an intermediary, a former cellmate named James Brown, to sell his story to a Hollywood production company. He said he landed near Mount Hood, about southeast of Ariel, injuring himself and losing the ransom money in the process. Photos of Coffelt bear a resemblance to the composite drawings, although he was in his mid-fifties in 1971. He was reportedly in Portland on the day of the hijacking, and sustained leg injuries around that time which were consistent with a skydiving mishap. Coffelt's account was reviewed by the FBI, which concluded that it differed in several details from information that had not been made public, and was therefore a fabrication. Brown, undeterred, continued peddling the story long after Coffelt died in 1975. Multiple media venues, including the CBS news program 60 Minutes, considered and rejected it. Lynn Doyle Cooper Lynn Doyle "L.D." Cooper (1931–1999), a leather worker and Korean War veteran, was proposed as a suspect in July 2011 by his niece, Marla Cooper. As an eight-year-old, she recalled Cooper and another uncle planning something "very mischievous", involving the use of "expensive walkie-talkies", at her grandmother's house in Sisters, Oregon, southeast of Portland. The next day Flight 305 was hijacked; and though the uncles ostensibly were turkey hunting, L.D. Cooper came home wearing a bloody shirt—the result, he said, of an auto accident. Later, Marla claimed, her parents came to believe that L.D. was the hijacker. She also recalled that her uncle, who died in 1999, was obsessed with the Canadian comic book hero Dan Cooper and "had one of his comic books thumbtacked to his wall"—although he was not a skydiver or paratrooper. In August 2011, New York magazine published an alternative witness sketch, reportedly based on a description by Flight 305 eyewitness Robert Gregory, depicting horn-rimmed sunglasses, a "russet"-colored suit jacket with wide lapels, and marcelled hair. The article notes that L.D. Cooper had wavy hair that looked marcelled (as did Duane Weber). The FBI announced that no fingerprints had been found on a guitar strap made by L.D. Cooper. One week later, they added that his DNA did not match the partial DNA profile obtained from the hijacker's tie, but acknowledged that there is no certainty that the hijacker was the source of the organic material obtained from the tie. Barbara Dayton Barbara Dayton (1926–2002), a recreational pilot and University of Washington librarian who was born Robert Dayton, served in the U.S. Merchant Marine and then the Army during World War II. After discharge, Dayton worked with explosives in the construction field and aspired to a professional airline career, but could not obtain a commercial pilot's license. Dayton underwent gender reassignment surgery in 1969 and changed her name to Barbara. She claimed to have staged the Cooper hijacking two years later, presenting as a man, in order to "get back" at the airline industry and the FAA, whose insurmountable rules and conditions had prevented her from becoming an airline pilot. Dayton said that the ransom money was hidden in a cistern near Woodburn, Oregon, a suburban area south of Portland, but eventually recanted the entire story, ostensibly after learning that hijacking charges could still be brought. She also did not match the physical description particularly closely. The FBI has never commented publicly on Dayton, who died in 2002. William Gossett William Pratt Gossett (1930–2003) was a Marine Corps, Army, and Army Air Forces veteran who saw action in Korea and Vietnam. His military experience included jump training and wilderness survival. Gossett was known to be obsessed with the Cooper hijacking. According to Galen Cook, a lawyer who has collected information related to Gossett for years, he once showed his sons a key to a Vancouver, British Columbia, safe deposit box which, he claimed, contained the long-missing ransom money. The FBI has no direct evidence implicating Gossett, and cannot even reliably place him in the Pacific Northwest at the time of the hijacking. "There is not one link to the D.B. Cooper case," said Special Agent Carr, "other than the statements [Gossett] made to someone". John List John Emil List (1925–2008) was an accountant and war veteran who murdered his wife, three teenage children, and 85-year-old mother in Westfield, New Jersey, fifteen days before the Cooper hijacking, withdrew $200,000 from his mother's bank account, and disappeared. He came to the attention of the Cooper task force due to the timing of his disappearance, multiple matches to the hijacker's description, and the reasoning that "a fugitive accused of mass murder has nothing to lose". After his capture in 1989, List admitted to murdering his family, but denied any involvement in the Cooper hijacking. Although his name continues to appear in Cooper articles and documentaries, no substantial evidence implicates him and the FBI no longer considers him a suspect. List died in prison in 2008. Ted Mayfield Theodore Ernest Mayfield (1935–2015) was a Special Forces veteran, pilot, competitive skydiver, and skydiving instructor. He served time in 1994 for negligent homicide after two of his students died when their parachutes failed to open, and was later found indirectly responsible for thirteen additional skydiving deaths due to faulty equipment and training. Mayfield was also arrested (but not convicted) for armed robbery in his youth. In 2010, he was sentenced to three years' probation for piloting a plane 26 years after losing his pilot's license and rigging certificates. He was suggested repeatedly as a suspect early in the investigation, according to FBI Agent Ralph Himmelsbach, who knew Mayfield from a prior dispute at a local airport. He was ruled out, based partly on the fact that he called Himmelsbach less than two hours after Flight 305 landed in Reno to volunteer advice on standard skydiving practices and possible landing zones, as well as information on local skydivers. Additionally, Mayfield's daughter says she called him via his home number the night of the Cooper hijacking; he answered and calmly discussed the incident and his phone call with the FBI. In 2006, two amateur researchers named Daniel Dvorak and Matthew Myers proposed Mayfield as a suspect once again. They suggested that Mayfield called Himmelsbach not to offer advice, but to establish an alibi; they also challenged Himmelsbach's conclusion that Mayfield could not possibly have found a phone in time to call the FBI less than four hours after jumping into the wilderness at night. Mayfield denied any involvement. The FBI offered no comment beyond Himmelsbach's original statement that Mayfield was ruled out as a suspect early on. Richard McCoy Jr. Richard McCoy (1942–1974) was an Army veteran who served two tours of duty in Vietnam, first as a demolition expert, and later with the Green Berets as a helicopter pilot. After his military service he became a warrant officer in the Utah National Guard and an avid recreational skydiver, with aspirations of becoming a Utah State Trooper. On April 7, 1972, McCoy staged the best-known of the so-called "copycat" hijackings (see below). He boarded United Airlines' (a with aft stairs) in Denver, Colorado, and brandishing what later proved to be a paperweight resembling a hand grenade and an unloaded handgun, he demanded four parachutes and $500,000. After delivery of the money and parachutes at San Francisco International Airport, McCoy ordered the aircraft back into the sky and bailed out over Provo, Utah, leaving behind his handwritten hijacking instructions and his fingerprints on a magazine he had been reading. He was arrested on April 9 with the ransom cash in his possession, and after trial and conviction, received a 45-year sentence. Two years later he escaped from Lewisburg Federal Penitentiary with several accomplices by crashing a garbage truck through the main gate. Tracked down three months later in Virginia Beach, McCoy was killed in a shootout with FBI agents. In their 1991 book, D.B. Cooper: The Real McCoy, parole officer Bernie Rhodes and former FBI agent Russell Calame asserted that they had identified McCoy as Cooper. They cited obvious similarities in the two hijackings, claims by McCoy's family that the tie and mother-of-pearl tie clip left on the plane belonged to McCoy, and McCoy's own refusal to admit or deny that he was Cooper. A proponent of their claim was the FBI agent who killed McCoy. "When I shot Richard McCoy", he said, "I shot D. B. Cooper at the same time." Although there is no reasonable doubt that McCoy committed the Denver hijacking, the FBI does not consider him a suspect in the Cooper case because of mismatches in age and description; a level of skydiving skill well above that thought to be possessed by the hijacker; and credible evidence that McCoy was in Las Vegas on the day of the Portland hijacking, and at home in Utah the day after, having Thanksgiving dinner with his family. Sheridan Peterson Sheridan Peterson (1926–2021) served in the Marine Corps during World War II and was later employed as a technical editor at Boeing, based in Seattle. Investigators took an interest in Peterson as a suspect soon after the skyjacking because of his experience as a smokejumper and love of taking physical risks, as well as his similar appearance and age (44) to the Cooper description. Peterson often teased the media about whether he was really Cooper. Entrepreneur Eric Ulis, who spent years investigating the crime, said he was "98% convinced" that Peterson was Cooper; but when pressed by FBI agents, Peterson insisted he was in Nepal at the time of the hijacking. He died in 2021. Robert Rackstraw Robert Wesley Rackstraw (1943–2019) was a retired pilot and ex-convict who served on an Army helicopter crew and other units during the Vietnam War. He came to the attention of the Cooper task force in February 1978, after he was arrested in Iran and deported to the U.S. to face explosives possession and check kiting charges. Several months later, while released on bail, Rackstraw attempted to fake his own death by radioing a false mayday call and telling controllers that he was bailing out of a rented plane over Monterey Bay. Police later arrested him in Fullerton, California, on an additional charge of forging federal pilot certificates; the plane he claimed to have ditched was found, repainted, in a nearby hangar. Cooper investigators noted his physical resemblance to Cooper composite sketches (although he was only 28 in 1971), military parachute training, and criminal record, but eliminated him as a suspect in 1979 after no direct evidence of his involvement could be found. In 2016, Rackstraw re-emerged as a suspect in a History program and a book. On September 8, 2016, Thomas J. Colbert, the author of the book, and attorney Mark Zaid filed a lawsuit to compel the FBI to release its Cooper case file under the Freedom of Information Act. In 2017, Colbert and a group of volunteer investigators uncovered what they believed to be "a decades-old parachute strap" at an undisclosed location in the Pacific Northwest. This was followed later in 2017 with a piece of foam, which they suspected of being part of Cooper's parachute backpack. In January 2018, Tom and Dawna Colbert reported that they had obtained a "confession" letter originally written in December 1971 containing "codes" that matched three units Rackstraw was a part of while in the Army. One of the Flight 305 flight attendants reportedly "did not find any similarities" between photos of Rackstraw from the 1970s and her recollection of Cooper's appearance. Rackstraw's attorney called the renewed allegations "the stupidest thing I've ever heard", and Rackstraw himself told People magazine, "It's a lot of [expletive], and they know it is." The FBI declined further comment. Rackstraw stated in a 2017 phone interview that he lost his job over the 2016 investigations. "I told everybody I was [the hijacker]", Rackstraw told Colbert, before explaining the admission was a stunt. He died in 2019. Walter R. Reca Walter R. Reca (1933–2014) was a military veteran and a member of the Michigan Parachute Team. He was proposed as a suspect by his friend Carl Laurin in 2018. In 2008, Reca told Laurin via a recorded phone call that he was the hijacker. Reca gave Laurin permission in a notarized letter to share his story after his death. He also allowed Laurin to tape their phone conversations about the crime over a six-week period in late 2008. In over three hours of recordings, Reca shared details about his version of the hijacking. He also confessed to his niece, Lisa Story. From Reca's description of the terrain on his way to the drop zone, Laurin concluded that he landed near Cle Elum, Washington. After Reca described an encounter with a dump truck driver at a roadside cafe after he landed, Laurin located Jeff Osiadacz, who was driving his dump truck near Cle Elum the night of the hijacking and met a stranger at the Teanaway Junction Café just outside of town. The man asked Osiadacz to give his friend directions to the café over the phone, presumably to be picked up, and he complied. Laurin convinced Joe Koenig, a former member of the Michigan State Police, of Reca's guilt. Koenig later published a book on Cooper, titled Getting the Truth: I Am D.B. Cooper. These claims have aroused skepticism. Cle Elum is well north and east of Flight 305's known flight path, more than north of the drop zone assumed by most analysts, and even further from Tina Bar, where a portion of the ransom money was found. Reca was a military paratrooper and private skydiver with hundreds of jumps to his credit, in contradiction to the FBI's publicized profile of an amateur skydiver at best. Reca also did not resemble the composite portrait the FBI assembled, which Laurin and Osiadacz used to explain why Osiadacz's suspicions were not aroused at the time. In response to the allegations against Reca, the FBI said that it would be inappropriate to comment on specific tips provided to them, and that no evidence to date had proved the culpability of any suspect beyond a reasonable doubt. William J. Smith In November 2018, The Oregonian published an article proposing William J. Smith (1928–2018), of Bloomfield, New Jersey, as a suspect. The article was based on research conducted by an Army data analyst who sent his findings to the FBI in mid-2018. Smith, a New Jersey native, was a World War II veteran. After high school, he enlisted in the United States Navy and volunteered for combat air crew training. After his discharge, he worked for the Lehigh Valley Railroad and was affected by the Penn Central Transportation Company's bankruptcy in 1970, the largest bankruptcy in U.S. history at that time. The article proposed that the loss of his pension created a grudge against the corporate establishment and transportation field, as well as a sudden need for money. Smith was 43 at the time of the hijacking. In his high school yearbook, a list of alumni killed in World War II lists an Ira Daniel Cooper, possibly the source for the hijacker's pseudonym. The analyst claimed that Smith's naval aviation experience would have given him knowledge of planes and parachutes, and his railroad experience would have helped him find railroad tracks and hop on a train to escape the area after landing. According to the analyst, aluminum spiral chips found on the clip-on tie could have come from a locomotive maintenance facility. Smith's information about the Seattle area may have come from his close friend Dan Clair, who was stationed at Fort Lewis during the war. (The analyst noted that the man who claimed to be Cooper in Max Gunther's 1985 book identified himself as "Dan LeClair".) Smith and Clair worked together for Conrail at Newark's Oak Island Yard. Smith retired from that facility as a yardmaster. The article noted that a picture of Smith on the Lehigh Valley Railroad website showed a "remarkable resemblance" to Cooper FBI sketches. The FBI said that it would be inappropriate to comment on tips related to Smith. Duane L. Weber Duane L. Weber (1924–1995) was a World War II Army veteran who served time in at least six prisons from 1945 to 1968 for burglary and forgery. He was proposed as a suspect by his widow, Jo, based primarily on a deathbed confession: three days before he died in 1995, Weber told his wife, "I am Dan Cooper." The name meant nothing to her, she said; but months later, a friend told her of its significance in the hijacking. She went to her local library to research Cooper, found Max Gunther's book, and discovered notations in the margins in her husband's handwriting. Like the hijacker, Weber drank bourbon and chain-smoked. Other circumstantial evidence included a 1979 trip to Seattle and the Columbia River. Himmelsbach said "[Weber] does fit the physical description (and) does have the criminal background that I have always felt was associated with the case", but did not believe Weber was Cooper. The FBI eliminated Weber as an active suspect in July 1998 when his fingerprints did not match any of those processed in the hijacked plane, and no other direct evidence could be found to implicate him. Later, his DNA also failed to match the samples recovered from Cooper's tie. Similar hijackings Cooper was not the first to attempt air piracy for personal gain. In early November 1971, for example, a Canadian man named Paul Joseph Cini hijacked an Air Canada DC-8 over Montana, but was overpowered by the crew when he put down his shotgun to strap on his parachute. Cooper's apparent success inspired a flurry of imitators, mostly during 1972. Some notable examples from that year: Garrett Brock Trapnell hijacked a TWA airliner en route from Los Angeles to New York City on January 28. He demanded $306,800 in cash, the release of Angela Davis, and an audience with President Richard Nixon. After the aircraft landed at John F. Kennedy International Airport, he was shot and wounded by FBI agents, then arrested. Richard Charles LaPoint, an Army veteran and "New England beach bum", boarded Hughes Airwest Flight 800 at McCarran International Airport in Las Vegas on January 20. Brandishing what he claimed was a bomb while the DC-9 was on the taxiway, he demanded $50,000, two parachutes, and a helmet. After releasing the 51 passengers and two flight attendants, he ordered the plane on an eastward trajectory toward Denver, then bailed out over the treeless plains of northeastern Colorado. Authorities, tracking the locator-equipped parachute and his footprints in the snow and mud, apprehended him a few hours later. Richard McCoy Jr., a former Army Green Beret, hijacked a United Airlines 727-100 on April 7 after it left Denver, diverted it to San Francisco, then bailed out over Utah with $500,000 in ransom money. He landed safely, but was arrested two days later. Frederick Hahneman used a handgun to hijack an Eastern Air Lines 727 in Allentown, Pennsylvania, on May 7, demanded $303,000, and eventually parachuted into his native Honduras. A month later, with the FBI in pursuit and a $25,000 bounty on his head, he surrendered at the American embassy in Tegucigalpa. Martin McNally, an unemployed service-station attendant, used a submachine gun on June 23 to commandeer an American Airlines 727 en route from St. Louis, Missouri, to Tulsa, Oklahoma, then diverted it eastward to Indiana and bailed out with $500,000 in ransom. McNally lost the ransom money as he exited the aircraft, but landed safely near Peru, Indiana, and was apprehended a few days later in a Detroit suburb. Fifteen hijackings similar to Cooper's—all unsuccessful—were attempted in 1972. With the advent of universal luggage searches in 1973 (see Airport security), the general incidence of hijackings dropped dramatically. There were no further notable Cooper imitators until July 11, 1980, when Glenn K. Tripp seized Northwest Orient Flight 608 at Seattle–Tacoma Airport, demanding $600,000 ($100,000 by an independent account), two parachutes, and the assassination of his boss. A quick-thinking flight attendant secretly drugged Tripp's alcoholic beverage with Valium. After a ten-hour standoff, during which Tripp reduced his demands to three cheeseburgers and a ground vehicle in which to escape, he was apprehended. Tripp would later attempt to hijack the same Northwest flight on January 21, 1983, and this time demanded to be flown to Afghanistan. When the plane landed in Portland, he was shot and killed by FBI agents. Aftermath Airport security The Cooper hijacking marked the beginning of the end for unfettered and unscrutinized commercial airline travel. Despite the initiation of the federal Sky Marshal Program the previous year, 31 hijackings were committed in U.S. airspace in 1972; nineteen of them were for the specific purpose of extorting money and most of the rest were attempts to reach Cuba. In 15 of the extortion cases, the hijackers also demanded parachutes. In early 1973, the FAA began requiring airlines to search all passengers and their bags. Amid multiple lawsuits charging that such searches violated Fourth Amendment protections against search and seizure, federal courts ruled that they were acceptable when applied universally and when limited to searches for weapons and explosives. Only two hijackings were attempted in 1973, both by psychiatric patients; one hijacker, Samuel Byck, intended to crash the airliner into the White House to kill President Nixon. Aircraft modifications Due to multiple "copycat" hijackings in 1972, the FAA required that the exterior of all aircraft be fitted with a spring-loaded device, later dubbed the "Cooper vane", that prevents lowering of the aft airstair during flight. The device consists of a flat blade of aluminum mounted on a pivot. The pivot is at the center of the blade. The vane is fastened to the forward end of the blade forward of the pivot and extends away from the fuselage. The long edge of the vane is perpendicular to the blade. When the airplane is in flight, the force of air pushing against the vane exceeds the resistance of the spring and rotates the vane and blade about the pivot so that the vane becomes parallel with the airflow. This places the portion of the blade aft of the pivot over the edge of the airstair and physically blocks the airstair from opening. When the airplane is on the ground and the force of the spring is greater than the airflow against the vane, the spring rotates the vane perpendicular to the airflow and pivots the blade away from the edge of the airstair. This allows normal operation of the airstair on the ground. Operation of the vane is automatic and cannot be overridden from within the aircraft. As a direct result of the hijacking, the installation of peepholes was mandated in all cockpit doors; this enables the cockpit crew to observe passengers without opening the cockpit door. Subsequent history of N467US In 1978, the hijacked 727-100 aircraft was sold by Northwest Orient to Piedmont Airlines, where it was re-registered N838N and continued in domestic carrier service. In 1984 it was purchased by the charter company Key Airlines, re-registered N29KA, and incorporated into the Air Force's civilian charter fleet that shuttled workers between Nellis Air Force Base and the Tonopah Test Range during the F-117 Nighthawk development program. In 1996, the aircraft was scrapped for parts in a Memphis boneyard. Death of Earl J. Cossey On April 23, 2013, Earl J. Cossey, the owner of the skydiving school that furnished the four parachutes that were given to Cooper, was found dead in his home in Woodinville, Washington, a suburb of Seattle. His death was ruled a homicide due to blunt-force trauma to the head. The perpetrator remains unknown. Some commenters alleged possible links to the Cooper case, but authorities responded that they had no reason to believe that any such link exists. Woodinville officials later announced that burglary was most likely the motive for the crime. In popular culture Himmelsbach famously called Cooper a "rotten sleazy crook", but his bold and unusual crime inspired a cult following that was expressed in song, film, and literature. Novelty shops sold t-shirts emblazoned with "D. B. Cooper, Where Are You?" Restaurants and bowling alleys in the Pacific Northwest hold regular Cooper-themed promotions and sell tourist souvenirs. A "Cooper Day" celebration has been held at the Ariel General Store and Tavern each November since 1974 with the exception of 2015, the year its owner, Dona Elliot, died. Cooper has appeared in the story lines of the television series Prison Break, The Blacklist, NewsRadio, Leverage, Journeyman, Renegade, Numb3rs, 30 Rock, Drunk History, and Loki, as well as the 1981 film The Pursuit of D. B. Cooper, the 2004 film Without a Paddle, and a book titled The Vesuvius Prophecy, based on The 4400 TV series. See also Cold case Dan Cooper (comics) List of aircraft hijackings List of fugitives from justice who disappeared Gentleman thief References Bibliography (Disclaimer: Large amounts of content based on alleged interviews with a woman known as "Clara", who claimed to have discovered an injured Cooper two days after the hijacking and lived with him until he died a decade later. This material is considered a hoax/fabrication by the FBI and others, whether by Gunther or "Clara". See New suspect in D.B. Cooper skyjacking case unearthed by Army data analyst; FBI stays mum: "Others called it straight-up fiction, and for good reason. A key subplot of the book -- LeClair and Clara's meet-cute experience in a small, unnamed Northwest town the day after the skyjacking -- is obviously untrue. (...) Another interpretation: Gunther just made it all up.") (Himmelsbach was the FBI's chief investigator on the case until his retirement in 1980; "Norjak" is FBI shorthand for the Cooper hijacking.) (Straightforward accounting of official information and evidence.) External links FBI Reading Room Files of the D.B. Cooper Case 1971 crimes in the United States 20th-century American criminals Accidents and incidents involving the Boeing 727 Aviation accidents and incidents in the United States in 1971 Fugitives Fugitives wanted by the United States Hijackers Missing air passengers Northwest Airlines accidents and incidents November 1971 events in the United States Parachuting in the United States Possibly living people Unidentified criminals Unidentified people Unsolved crimes in the United States Washington (state) culture Year of birth unknown
8817
https://en.wikipedia.org/wiki/Deicide%20%28band%29
Deicide (band)
Deicide is an American death metal band formed in Tampa, Florida in 1987 by drummer Steve Asheim and guitarist brothers Eric and Brian Hoffman as "Carnage", then hiring bassist/vocalist Glen Benton and becoming "Amon". They would later change the band name to Deicide in 1989. The band rose to mainstream success in 1992 with their second album Legion, and is credited as the second-best-selling death metal band of the Soundscan Era, after Cannibal Corpse. Since their debut album in 1990, Deicide has released twelve studio albums, one live album, two compilation albums and two live DVDs. In November 2003, their first two albums, Deicide and Legion, were ranked second and third place respectively in best-selling death metal albums of the SoundScan era. Deicide is known for their lyrics, which cover topics such as Satanism, anti-Christianity and blasphemy. Their lyrics have resulted in bans, lawsuits and criticism from religious groups and the public. History Early days as Amon/Carnage (1987–1989) Deicide was formed in Tampa, Florida on July 21, 1987, after guitarist Brian Hoffman called Glen Benton, replying to an advertisement the latter had placed in a local music magazine. Hoffman and his brother, along with drummer Steve Asheim, had previously played together as the band "Carnage", which was in need of a bassist and vocalist. Carnage played cover songs by Slayer, Exodus, Celtic Frost and Dark Angel. The new band, called Amon, consisted of Benton (bass and vocals), Hoffman, Hoffman's brother Eric (guitars) and Steve Asheim (drums). Within a month, they had recorded the Feasting the Beast 8-track demo in Benton's garage and had started playing the occasional gig in the Tampa area. In 1989, Amon recorded their second demo, Sacrificial, at Morrisound with producer Scott Burns. Malevolent Creation guitarist Phil Fasciana recalls an early Carnage show: "It was like Slayer intensified a thousand times." "I guess Carnage had hollowed out a mannequin and filled it with fuckin' blood and guts from a butcher shop... and then they threw the fuckin' thing on the floor. Morbid Angel had these pit bulls with them back then and they were just tearing the meat up. It was a really weird scene, man. There was blood and meat everywhere." As Deicide (1989–2004) Benton reportedly stormed into Roadrunner Records' A&R man Monte Conner's office and presented him with the demo, saying, "Sign us, you fucking asshole!" The next day contracts were issued to the band. In 1989 the band's name was changed to Deicide at the request of Roadrunner Records. Deicide then released their self-titled debut album, also produced by Scott Burns at Morrisound, in 1990. Their debut featured re-recorded versions of all six of the Sacrificial tunes that had secured them their record deal. Both the Hoffman brothers tended to play technical solos at fast speeds and with overlapping riffs, which gave Deicide the definitive heavy sound and complex song structures. This lineup remained intact until November 25, 2004, in the wake of increasing animosity between Glen Benton and the Hoffmans allegedly in regards to royalties and publishing. The Hoffman brothers later went on to reform Amon. Post-Hoffman brothers period (2004–present) Shortly after, the guitar roles were then filled by former Cannibal Corpse guitarist Jack Owen, and Vital Remains guitarist Dave Suzuki. Following the tour, Suzuki was replaced by guitarist Ralph Santolla. Santolla stated he was a Catholic, which had received a small amount of shock and ridicule from some metal fans. In spite of this, Deicide's eighth studio album The Stench of Redemption, which was released on August 22, 2006, received rave reviews. In January 2007, Benton left the European tour and returned home to the United States as a result of legal issues at home. Asheim announced that Seth van Loo, from opening act Severe Torture, and Garbaty "Yaha", from the Polish death metal band Dissenter, would be replacing Benton starting on January 9 in the Netherlands, until Benton could rejoin the tour. Benton rejoined the band in Paris on January 13. On May 24, 2007, it was announced Ralph Santolla had left Deicide. Subsequently, he joined Florida's Obituary and appears on their album Xecutioner's Return as well as the tour. On July 20, 2007, guitarist Jack Owen announced that Deicide would be "on hiatus" and he had joined Ohio based death/thrash combo Estuary for touring purposes. The band embarked on a Balkan tour, dubbed "Balkans AssassiNation Tour", in October 2007 alongside Krisiun, Incantation and Inactive Messiah. By November 2007, Deicide began work on their ninth studio album at Florida's Morrisound Studios. Entitled Till Death Do Us Part, the follow-up to The Stench of Redemption, promised to be the band's "most savage and aggressive [offering] to date", according to a press release. Drummer Steve Asheim recorded drum tracks and Benton started recording vocals in December 2007. In April 2008, two songs off the album were posted online. It was finally released on April 28, 2008. As the record was coming out, Benton considered retiring from music, in the midst of personal matters including a custody battle. On January 6, 2009, Deicide posted a blog on their official Myspace page saying they had signed a worldwide record deal with Century Media, with Ralph Santolla returning to the band for a European tour. They were said to be working on material for a summer 2010 release. In early 2009, they toured with Vital Remains and Order of Ennead. Guitarist Kevin Quirion of Order of Ennead joined the band in the summer of 2009. In June 2010, Glen Benton revealed that the next Deicide album was to be titled To Hell with God. It was produced by Mark Lewis at Audiohammer Studios in Sanford, Florida, and was released on February 15, 2011. Deicide released their eleventh studio album, In the Minds of Evil, on November 26, 2013. In November 2016, it was apparent that guitarist Jack Owen had been replaced by Monstrosity guitarist Mark English without an official announcement made by the band. Owen went on to join Six Feet Under in February 2017. On October 9, 2014, The Village Voice reported that Deicide had started working on new material for their twelfth studio album. On March 10, 2017, Deicide announced a short U.S. tour which would begin in May and also issued an update on the album: "the new record is almost completed, right now its down to scheduling, this run of shows were setting up is to introduce and work in our new guitarist Mark English, that and I need a break from this thing called Florida…". The album, titled Overtures of Blasphemy, was released on September 14, 2018. On June 6, 2018, former guitarist Ralph Santolla died due to complications following a heart attack and was taken off life support since being in a coma for a week. In February 2019, Deicide parted ways with guitarist Mark English and replaced him with Autumn's End vocalist/guitarist Chris Cannella. On April 17, 2021, the band performed in front of an audience of full capacity at The Verona in New Port Richey amid the COVID-19 pandemic, as all restrictions for businesses were lifted and mask mandate enforcements for local cities in Florida were removed as the state was moved into Stage 3 in late September 2020. A U.S. tour followed soon after, with Kataklysm, Internal Bleeding and Begat the Nephilim. On January 19, 2022, it was announced guitarist Chris Cannella had left the band and was replaced by Taylor Nordberg. Controversy Deicide has received considerable controversy relating to their albums and lyrics, which include vehement anti-Christian themes, such as "Death to Jesus", "Fuck Your God", "Kill the Christian", "Behead the Prophet" and "Scars of the Crucifix", among others. Drummer Asheim said, "The whole point of Satanic music is to blaspheme against the Church", "I don't believe in or worship a devil. Life is short enough without having to waste it doing this whole organised praying, hoping, wishing-type thing on some superior being". Most of the controversy surrounded frontman Benton for a rash of shocking interviews and wild statements. Benton has repeatedly branded an inverted cross into his forehead on at least 12 different occasions. During an interview with NME magazine, he shot and killed a squirrel with a pellet gun to prevent any further damage to his electrical system in the attic at the location the interview was held. This act garnered negative attention from critics and some animal rights activists. Benton had professed beliefs in theistic Satanism during Deicide's early years, claimed to slaughter rodents for fun, and that he held beliefs in demonic possession and that he was possessed. Such statements had eventually been concluded as tongue-in-cheek and little more than sensationalism by band members questioned alternatively. Additionally, Benton claimed in the early 1990s that he would commit suicide at the age of 33 to "mirror" a lifespan opposite that of Jesus Christ. However, he passed that age in 2000 and did not commit suicide, rebutting in 2006 that these statements had been "asinine remarks" and that "only cowards and losers" choose to kill themselves. Deicide has been banned from playing in several venues (such as Valparaiso, Chile over a promotional poster featuring Jesus Christ with a bullet hole in his forehead) and with various festivals such as Hellfest, after several graves had been spray-painted with "When Satan Rules His World", a reference to a song from Deicide's 1995 album Once upon the Cross. In addition, their music video for "Homage for Satan", which features blood-splattered zombies on a rampaging mission to capture a priest, was banned from UK music TV channel Scuzz. In 1992, Deicide was on tour in Europe with Atrocity from Germany and Gorefest, a Dutch death metal band. In Stockholm, during the Gorefest set, a bomb was discovered on-stage. It exploded in the club in which they were playing. The bomb was located to the rear of the stage, behind a heavy, fireproof door. The explosion was big enough to deform the door and blow it off its hinges. Deicide managed to play three songs before the police decided to stop the concert and evacuate the club. At first, Benton blamed that attack on the Norwegian black metal scene, where Deicide's brand of death metal was despised. Many people blamed animal rights activists who were angered at Deicide's lyrical themes of animal sacrifice. Band members Current members Steve Asheim – drums , guitars Glen Benton – bass, lead vocals Kevin Quirion – guitars, backing vocals Taylor Nordberg – guitars, backing vocals Former members Eric Hoffman – guitars Brian Hoffman – guitars Ralph Santolla – guitars Jack Owen – guitars Mark English – guitars Chris Cannella – guitars, backing vocals Live members Dave Suzuki – guitars Seth Van Loo – vocals Dariusz "Garbaty Yaha" Kułpiński – bass, lead vocals Recording timeline Timeline Discography Deicide (1990) Legion (1992) Once upon the Cross (1995) Serpents of the Light (1997) Insineratehymn (2000) In Torment in Hell (2001) Scars of the Crucifix (2004) The Stench of Redemption (2006) Till Death Do Us Part (2008) To Hell with God (2011) In the Minds of Evil (2013) Overtures of Blasphemy (2018) References Further reading Mudrian, Albert (2004). Choosing Death:The Improbable History of Death Metal and Grindcore, Feral House, . External links Death metal musical groups from Florida 1987 establishments in Florida Century Media Records artists Critics of Christianity Satanists Earache Records artists Musical groups established in 1987 Musical groups from Tampa, Florida Musical quartets Obscenity controversies in music Roadrunner Records artists
8828
https://en.wikipedia.org/wiki/Dundee
Dundee
Dundee (; ; or ) is Scotland's fourth-largest city and the 51st-most-populous built-up area in the United Kingdom. The mid-year population estimate for 2016 was , giving Dundee a population density of 2,478/km2 or 6,420/sq mi, the second-highest in Scotland. It lies within the eastern central Lowlands on the north bank of the Firth of Tay, which feeds into the North Sea. Under the name of Dundee City, it forms one of the 32 council areas used for local government in Scotland. Within the boundaries of the historic county of Angus, the city developed into a burgh in the late 12th century and established itself as an important east coast trading port. Rapid expansion was brought on by the Industrial Revolution, particularly in the 19th century when Dundee was the centre of the global jute industry. This, along with its other major industries, gave Dundee its epithet as the city of "jute, jam and journalism". Today, Dundee is promoted as "One City, Many Discoveries" in honour of Dundee's history of scientific activities and of the RRS Discovery, Robert Falcon Scott's Antarctic exploration vessel, which was built in Dundee and is now berthed at Discovery Point. Biomedical and technological industries have arrived since the 1980s, and the city now accounts for 10% of the United Kingdom's digital entertainment industry, including mobile app development and gaming. Dundee has two universities – the University of Dundee and the Abertay University. In 2014, Dundee was recognised by the United Nations as the UK's first UNESCO City of Design for its diverse contributions to fields including medical research, comics and video games. A unique feature of Dundee is that its two professional football clubs, Dundee F.C. and Dundee United F.C., have stadiums all but adjacent to each other. With the decline of traditional industry, the city has adopted a plan to regenerate and reinvent itself as a cultural centre. In pursuit of this, a £1 billion master plan to regenerate and to reconnect the Waterfront to the city centre started in 2001 and is expected to be completed within a 30-year period. The V&A Dundee – the first branch of the V&A to operate outside of London – is the main centre piece of the waterfront project. In recent years, Dundee's international profile has risen. GQ magazine named Dundee the "Coolest Little City in Britain" in 2015 and The Wall Street Journal ranked Dundee at number 5 on its "Worldwide Hot Destinations" list for 2018. History The name "Dundee" is made up of two parts: the common Celtic place-name element dun, meaning fort; and a second part that may derive from a Celtic element, cognate with the Gaelic dè, meaning 'fire'. While earlier evidence for human occupation is abundant, Dundee's success and growth as a seaport town arguably came as a result of William the Lion's charter, granting Dundee to his younger brother, David (later Earl of Huntingdon) in the late 12th century. The situation of the town and its promotion by Earl David as a trading centre led to a period of prosperity and growth. The earldom was passed down to David's descendants, amongst whom was John Balliol. The town became a Royal Burgh on John's coronation as king in 1292. The town and its castle were occupied by English forces for several years during the First War of Independence and recaptured by Robert the Bruce in early 1312. The original Burghal charters were lost during the occupation and subsequently renewed by Bruce in 1327. The burgh suffered considerably during the conflict known as the Rough Wooing of 1543 to 1550, and was occupied by the English forces of Andrew Dudley from 1547. In 1548, unable to defend the town against an advancing Scottish force, Dudley ordered that the town be burnt to the ground. In 1645, during the Wars of the Three Kingdoms, Dundee was again besieged, this time by the Royalist Marquess of Montrose. The town was finally destroyed by Parliamentarian forces led by George Monck in 1651. The town played a pivotal role in the establishment of the Jacobite cause when John Graham of Claverhouse, 1st Viscount Dundee raised the Stuart standard on the Dundee Law in 1689. The town was held by the Jacobites in the 1715–16 rising, and on 6 January 1716 the Jacobite claimant to the throne, James VIII and III (the Old Pretender), made a public entry into the town. Many in Scotland, including many in Dundee, regarded him as the rightful king. A notable resident of Dundee was Adam Duncan, 1st Viscount Duncan of Camperdown, Baron of Lundie (1 July 1731 to 4 August 1804). He was born in Dundee on 1 July 1731, the son of Alexander Duncan of Lundie, Provost of Dundee. Adam was educated in Dundee and later joined the Royal Navy on board the sloop Trial. He rose to be admiral and in October 1797 defeated the Dutch fleet off Camperdown (north of Haarlem). This was seen as one of the most significant actions in naval history. The economy of mediaeval Dundee centred on the export of raw wool, with the production of finished textiles being a reaction to recession in the 15th century. Two government Acts in the mid 18th century had a profound effect on Dundee's industrial success: the textile industry was revolutionised by the introduction of large four-storey mills, stimulated in part by the 1742 Bounty Act which provided a government-funded subsidy on Osnaburg linen produced for export. Expansion of the whaling industry was triggered by the second Bounty Act, introduced in 1750 to increase Britain's maritime and naval skill base. Dundee, and Scotland more generally, saw rapid population increase at end of the 18th and beginning of the 19th century, with the city's population increasing from 12,400 in 1751 to 30,500 in 1821. The phasing out of the linen export bounty between 1825 and 1832 stimulated demand for cheaper textiles, particularly for cheaper, tough fabrics. The discovery that the dry fibres of jute could be lubricated with whale oil (of which Dundee had a surfeit, following the opening of its gasworks) to allow it to be processed in mechanised mills resulted in the Dundee mills rapidly converting from linen to jute, which sold at a quarter of the price of flax. Interruption of Prussian flax imports during the Crimean War and of cotton during the American Civil War resulted in a period of inflated prosperity for Dundee and the jute industry dominated Dundee throughout the latter half of the 19th century. Unprecedented immigration, notably of Irish workers, led to accelerated urban expansion, and at the height of the industry's success, Dundee supported 62 jute mills, employing some 50,000 workers. Cox Brothers, who owned the massive Camperdown Works in Lochee, were one of the largest jute manufacturers in Europe and employed more than 5,000 workers. The rise of the textile industries brought with it an expansion of supporting industries, notably of the whaling, maritime and shipbuilding industries, and extensive development of the waterfront area started in 1815 to cope with increased demand for port capacity. At its height, 200 ships per year were built there, including Robert Falcon Scott's Antarctic research vessel, the . This ship is now on display at Discovery Point in the city. A significant whaling industry was also based in Dundee, largely existing to supply the jute mills with whale oil. Whaling ceased in 1912 and shipbuilding ceased in 1981. While the city's economy was dominated by the jute industry, it also became known for smaller industries. Most notable among these were James Keiller's and Sons, established in 1795, which pioneered commercial marmalade production, and the publishing firm DC Thomson, which was founded in the city in 1905. Dundee was said to be built on the 'three Js': Jute, Jam and Journalism. The town was also the location of one of the worst rail disasters in British history, the Tay Bridge disaster. The first Tay Rail Bridge was opened in 1878. It collapsed some 18 months later during a storm, as a passenger train passed over it, resulting in the loss of 75 lives. The most destructive fire in the city's history came in 1906, reportedly sending "rivers of burning whisky" through the street. The jute industry fell into decline in the early 20th century, partly due to reduced demand for jute products and partly due to an inability to compete with the emerging industry in Calcutta. This gave rise to unemployment levels far in excess of the national average, peaking in the inter-war period, but major recovery was seen in the post-war period, thanks to the arrival first of American light engineering companies like Timex and NCR, and subsequent expansion into microelectronics. A£1 billion master plan to regenerate Dundee Waterfront is expected to last for a 30-year period between 2001 and 2031. The aims of the project are to reconnect the city centre to the waterfront; to improve facilities for walking, cyclists and buses; to replace the existing inner ring road with a pair of east/west tree-lined boulevards; and to provide a new civic square and a regenerated railway station and arrival space at the western edge. A new Victoria and Albert Museum opened on 15 September 2018. Governance Dundee was granted Royal Burgh status on the coronation of John Balliol as King of Scotland in 1292. The city has two mottos— (Gift of God) and Prudentia et Candore (With Thought and Purity) although usually only the latter is used for civic purposes. Prior to 1996, Dundee was governed by the City of Dundee District Council. This was formed in 1975, implementing boundaries imposed in the Local Government (Scotland) Act 1973. Under these boundaries, the Angus burgh and district of Monifieth, and the Perth electoral division of Longforgan (which included Invergowrie) were annexed to the county of the city of Dundee. In 1996, the Dundee City unitary authority was created following implementation of the Local Government etc. (Scotland) Act 1994. This placed Monifieth and Invergowrie in the unitary authorities of Angus and Perth and Kinross, largely reinstating the pre-1975 county boundaries. Some controversy has ensued as a result of these boundary changes, with Dundee city councillors arguing for the return of Monifieth and Invergowrie. Local government Dundee is one of 32 council areas of Scotland, and is represented by the Dundee City Council – a local council composed of 29 elected councillors. Previously the city was a county of a city and later a district of the Tayside region. Council meetings take place in the City Chambers, which opened in 1933 in City Square. The civic head and chair of the council is known as the Lord Provost, a position similar to that of mayor in other cities. The political head of the council is known as the Leader of the council or Leader of the Administration. The Leader chairs the Policy & Resources Committee. Dundee House, the new headquarters for the city council on North Lindsay Street, opened in August 2011. This has replaced Tayside House which was demolished in 2013 as part of the Dundee Waterfront improvements. Elections to the council are normally on a four-year cycle. The most recent election took place on 4 May 2017. Since 2007, the Local Governance (Scotland) Act 2004 has meant that there are eight multi-member wards which elect three or four councillors by single transferable vote, to produce a form of proportional representation. The 2012 elections gave the SNP overall control of the council with 16 seats. However the 2017 contest saw the SNP lose their majority, although they remained the largest party with 14 councillors. Scotland's longest-serving councillor, Ian Borthwick, sits on the council. Westminster and Holyrood For elections to the British House of Commons at Westminster, the city area and portions of the Angus council area are divided in two constituencies. The constituencies of Dundee East and Dundee West are represented by Stewart Hosie (Scottish National Party) and Chris Law (Scottish National Party), respectively, both of whom were re-elected at the 2019 General Election. For elections to the Scottish Parliament at Holyrood, the city area is divided between three constituencies. The Dundee City East constituency and the Dundee City West constituency are entirely within the city area. The Angus South (Holyrood) constituency includes north-eastern and north-western portions of the city area. All three constituencies are within the North East Scotland electoral region: Shona Robison (SNP) is the Member of the Scottish Parliament (MSP) for the Dundee East constituency; Joe Fitzpatrick (SNP) is the current MSP for the Dundee West constituency and Graeme Dey (SNP) is the current MSP for the Angus South constituency. Dundee was also part of the pan-Scotland European Parliament constituency until 31 January 2020 when the U.K. left the EU. Seven Members of the European Parliament (MEP)s were elected using the d'Hondt method of party-list proportional representation. In the last European Election Scotland voted, it returned three SNP MEPs, one Liberal Democrat MEP, one Conservative and Unionist MEP and one Brexit Party MEP, to the European Parliament. Winston Churchill served as one of two MPs for Dundee from 1908 to 1922. 2014 Scottish independence referendum On 18 September 2014, Dundee was one of four council areas to vote "Yes" in the Scottish independence referendum, with 57.3% voting "Yes" on a 78.8% turnout. With the highest Yes vote for any local authority in Scotland, some in the Yes Scotland campaign nicknamed Dundee the 'Yes City', including former First Minister Alex Salmond. Geography Dundee sits on the north bank of the Firth of Tay on the eastern, North Sea Coast of Scotland. The city lies NNE of Edinburgh and NNW of London. The built-up area occupies a roughly rectangular shape long by wide, aligned in an east to west direction and occupies an area of . The town is bisected by a line of hills stretching from Balgay Hill (elevation of 143 m) in the west end of the city, through the Dundee Law (174 m) which occupies the centre of the built up area, to Gallow Hill (83 m), between Baxter Park and the Eastern Cemetery. North of this ridge lies a valley through which cuts the Dighty Water burn, the elevation falling to around 45 m. North of the Dighty valley lie the Sidlaw Hills, the most prominent hill being Craigowl Hill (455 m). The western and eastern boundaries of the city are marked by two burns that are tributaries of the River Tay. On the westernmost boundary of the city, the Lochee burn meets the Fowlis burn, forming the Invergowrie burn, which meets the Tay at Invergowrie basin. The Dighty Water enters Dundee from the village of Strathmartine and marks the boundaries of a number of northern districts of the city, joining the Tay between Barnhill and Monifieth. The Scouring burn in the west end of the city and Dens Burn in the east, both of which played important roles in the industrial development of the city, have now been culverted over. Geology The city lies within the Sidlaw-Ochil anticline, and the predominant bedrock type is Old Red Sandstone of the Arbuthnott-Garvock group. Differential weathering of a series of igneous intrusions has yielded a number of prominent hills in the landscape, most notably the Dundee Law (a late Silurian/early Devonian Mafic rock intrusion) and Balgay hill (a Felsic rock intrusion of similar age). In the east of the city, in Craigie and Broughty Ferry, the bedrock geology is of extrusive rocks, including mafic lava and tuff. The land surrounding Dundee, particularly that in the lower lying areas to the west and east of the city, bears high quality soil that is particularly suitable for arable farming. It is predominantly of a brown forest soil type with some gleying, the lower parts being formed from raised beach sands and gravels derived from Old Red Sandstone and lavas. Location Urban environment Very little of pre-Reformation Dundee remains, the destruction suffered in the War of the Rough Wooing being almost total, with only scattered, roofless shells remaining. The area occupied by the medieval burgh of Dundee extends between East Port and West Port, which formerly held the gates to the walled city. The shoreline has been altered considerably since the early 19th century through development of the harbour area and land reclamation. Several areas on the periphery of the burgh saw industrial development with the building of textile mills from the end of the 18th century. Their placement was dictated by the need for a water supply for the modern steam powered machinery, and areas around the Lochee Burn (Lochee), Scouring Burn (Blackness) and Dens Burn (Dens Road area) saw particular concentrations of mills. The post war period saw expansion of industry to estates along the Kingsway. Working class housing spread rapidly and without control throughout the Victorian era, particularly in the Hawkhill, Blackness Road, Dens Road and Hilltown areas. Despite the comparative wealth of Victorian Dundee as a whole, living standards for the working classes were very poor. A general lack of town planning coupled with the influx of labour during the expansion of the jute industry resulted in insanitary, squalid and cramped housing for much of the population. While gradual improvements and slum clearance began in the late 19th century, the building of the groundbreaking Logie housing estate marked the beginning of Dundee's expansion through the building of planned housing estates, under the vision of city architect James Thomson, whose legacy also includes the housing estate of Craigiebank and the beginnings of an improved transport infrastructure by planning the Kingsway bypass. Modernisation of the city centre continued in the post-war period. The medieval Overgate was demolished in the early 1960s to make way for a shopping centre, followed by construction of the inner ring road and the Wellgate Shopping Centre. The Tay Road Bridge, completed in 1966 had as its northern landfall the docklands of central Dundee, and the new associated road system resulted in the city centre being cut off from the river. An acute shortage of housing in the late 1940s was addressed by a series of large housing estates built in the northern environs including the Fintry, Craigie, Charleston and Douglas areas in the 1950s and early 1960s. These were followed by increasingly cost-effective and sometimes poorly planned housing in throughout the 1960s. Much of this, in particular the high-rise blocks of flats at Lochee, Kirkton, Trottick, Whitfield, Ardler and Menzieshill, and the prefabricated Skarne housing blocks at Whitfield, have been demolished since the 1990s or are scheduled for future demolition. Climate The climate, like the rest of lowland Scotland, is Oceanic (Köppen-Geiger classification Cfb). Mean temperature and rainfall are typical for the east coast of Scotland, and with the city's sheltered estuarine position, mean daily maxima are slightly higher than coastal areas to the North, particularly in spring and summer. The summers are still chilly when compared with similar latitudes in continental Europe, something compensated for by the mild winters, similar to the rest of the British Isles. The nearest official Met Office weather station is Mylnefield, Invergowrie which is about west of the City Centre. A record high of was recorded in July 2013. The warmest month was July 2006, with an average temperature of (average high , average low ). In an 'average' year the warmest day should reach , and in total just 1.86 days should equal or exceed a temperature of per year, illustrating the rarity of such warmth. On average, 4.73 days should record a minimum temperature at or below -5 °C and there are 53.26 days of air frost on average. From 1991-2020, Mylnefield averaged 0.9 ice days, 50 days with precipitation of more than 5mm and 19.56 days with more than 10mm. The weather station is in plant hardiness zone 10a. Demography Dundee's recorded population reached a peak of 182,204 at the 1971 census. According to the 2011 census, the City of Dundee had a population of 147,268. A more recent population estimate of the City of Dundee has been recorded at 149,320 in 2019. The demographic make-up of the population is much in line with the rest of Scotland. The age group from 30 to 44 forms the largest portion of the population (20%). The median age of males and females living in Dundee was 37 and 40 years, respectively, compared to 37 and 39 years for those in the whole of Scotland. The place of birth of the town's residents was 94.16% United Kingdom (including 87.85% from Scotland), 0.42% Republic of Ireland, 1.33% from other European Union (EU) countries, and 3.09% from elsewhere in the world. The economic activity of residents aged 16–74 was 35.92% in full-time employment, 10.42% in part-time employment, 4.25% self-employed, 5.18% unemployed, 7.82% students with jobs, 4.73% students without jobs, 15.15% retired, 4.54% looking after home or family, 7.92% permanently sick or disabled, and 4.00% economically inactive for other reasons. Compared with the average demography of Scotland, Dundee has both low proportions of people born outside the United Kingdom and for people over 75 years old. Natives of Dundee are called Dundonians and are often recognisable by their distinctive dialect of Scots as well as their accent, which most noticeably substitutes the monophthong /ɛ/ (pronounced "eh") in place of the diphthong /aj/ (pronounced "ai"). Dundee, and Scotland more generally, saw rapid population increase at end of the 18th and beginning of the 19th century, with the city's population increasing from 12,400 in 1751 to 30,500 in 1821. Of particular significance was an influx of Irish workers in the early to mid-19th century, attracted by the prospect of employment in the textiles industries. In 1851, 18.9% of people living in Dundee were of Irish birth. The city has also attracted immigrants from Italy, fleeing poverty and famine, in the 19th century Jews, fleeing from the Russia controlled portions of partitioned Poland and from German occupation in the 20th. Today, Dundee has a sizeable ethnic minority population, and has around 4,000 Asian residents which is the fourth-largest Asian community in Scotland. The city also has 1.0% of residents from a Black/African/Caribbean background. Dundee has a higher proportion of university students – one in seven of the population – than any other town in Europe, except Heidelberg. The 14.2% come from all around the world to attend the local universities and colleges. Dundee is a major attraction for Northern Irish students who make up 5% of the total student population. The city's universities are believed to hold the highest percentage of Northern Irish students outside of Northern Ireland and have a big impact on the local economy and culture. However, this has declined in recent years due to the increase of tuition fees for students elsewhere in the UK. Dundee also has a lot of students from abroad, mostly from the Republic of Ireland and other EU countries but with an increasing number from countries from the Far East and Nigeria. Economy The period following World War II was notable for the transformation of the city's economy. While jute still employed one-fifth of the working population, new industries were attracted and encouraged. NCR Corporation selected Dundee as the base of operations for the UK in late 1945, primarily because of the lack of damage the city had sustained in the war, good transport links and high productivity from long hours of sunshine. Production started in the year before the official opening of the plant on 11 June 1947. A fortnight after the 10th anniversary of the plant the 250,000th cash register was produced. By the 1960s, NCR had become the principal employer of the city producing cash registers, and later ATMs, at several of its Dundee plants. The firm developed magnetic-strip readers for cash registers and produced early computers. Astral, a Dundee-based firm that manufactured and sold refrigerators and spin dryers was merged into Morphy Richards and rapidly expanded to employ over 1,000 people. The development in Dundee of a Michelin tyre-production facility helped to absorb the unemployment caused by the decline of the jute industry, particularly with the abolition of the jute control by the Board of Trade on 30 April 1969. Employment in Dundee changed dramatically during the 1980s with the loss of nearly 10,000 manufacturing jobs due to closure of the shipyards, cessation of carpet manufacturing and the disappearance of the jute trade. To combat growing unemployment and declining economic conditions, Dundee was declared an Enterprise Zone in January 1984. In 1983, the first Sinclair ZX Spectrum home computers were produced in Dundee by Timex. In the same year the company broke production records, despite a sit-in by workers protesting against job cuts and plans to demolish one of the factory buildings to make way for a supermarket. Timex closed its Dundee plant in 1993 following an acrimonious six-month industrial dispute. The Michelin Tyre factory closed in June 2020, with the loss of 850 jobs. Modern day Dundee is a regional employment and education centre, with around 325,000 people within 30 minutes' drive of the city centre and 860,000 people within one hour. Many people from North East Fife, Angus and Perth and Kinross commute to the city. As of 2015, there were 395 employers who employed 250 or more staff; over a five-year period (2011–2015) the number of registered enterprises in Dundee increased by 20.9% from 2,655 to 3,210. The largest employers in the city are NHS Tayside, Dundee City Council, University of Dundee, Tayside Contracts, Tesco, D. C. Thomson & Co and BT. Other employers include limited and private companies such as NCR, Michelin, Alliance Trust, Aviva, Royal Bank of Scotland, Asda, Stagecoach Strathtay, Tokheim, Scottish Citylink, Rochen Limited, C J Lang & Son (SPAR Scotland), Joinery and Timber Creations, HBOS, Debenhams, Xplore Dundee, and W. L. Gore and Associates. Between 2009 and 2014 the hardest-hit sectors, in terms of jobs, were Information and Communication, Construction and Manufacturing which each lost around 500 full-time jobs. By contrast, the Professional, Scientific and Technical sector saw an upsurge in jobs in addition to the Business Administration and Support Service sector which increased by approximately 1,000 full-time and 300 part-time jobs in the same six-year period. Gross median weekly earnings of full-time employees in Dundee in 2015 was £523.50; men received £563.40 and women £451.80. Gross weekly pay for all employees in Dundee has increased from £325.00 in 2000 to £380.00 in 2015. The biomedical and biotechnology sectors, including start-up biomedical companies arising from university research, employ just under 1,000 people directly and nearly 2,000 indirectly. Information technology and video game development have been important industries in the city for more than 20 years. Rockstar North, developer of Lemmings and the Grand Theft Auto series was founded in Dundee as DMA Design by David Jones; an undergraduate of the Abertay University. Other game development studios in Dundee include Denki, Ruffian Games, Dynamo Games, 4J Studios and Outplay Entertainment, among others. Dundee is also a key retail destination for North East Scotland and has been ranked 4th in Retail Rankings in Scotland. The city centre offers a wide variety of retailers, department stores and independent/specialist stores. The Murraygate and High Street forms the main pedestrian area and is home to a number of main anchors such as Marks and Spencer, Accessorise and Zara. The main pedestrian area also connects the two large shopping centres; the Overgate Centre which is anchored by Debenhams, H&M, Next, Argos, and The Perfume Shop and the Wellgate Centre by Home Bargains, T. J. Hughes, B&M, Superdrug, Iceland, Holland & Barrett, Poundland, Savers, The Works, Hydro Electric, Bright house, Other retail areas in the city include Gallagher Retail Park, Kingsway East Retail Park and Kingsway West Retail Park. Landmarks The city and its landscape are dominated by The Law and the Firth of Tay. The Law, a large hill to the north of the City Centre was the site of an Iron Age Hill Fort, upon which the Law War Memorial, designed by Thomas Braddock, was erected in 1921 to commemorate the fallen of World War I. The waterfront, much altered by reclamation in the 19th century, retains several of the docks that once were the hub of the jute and whaling industries, including the Camperdown and Victoria Docks. The Victoria Dock is the home of the frigate HMS Unicorn and the North Carr Lightship, while Captain Scott's RRS Discovery occupies Craig Pier, from where the ferries to Fife once sailed. The oldest building in the city is St Mary's Tower, which dates from the late 15th century. This forms part of the City Churches, which consist of St Clement's Church, dating to 1787–8 and built by Samuel Bell, Old St Paul's and St David's Church, built in 1841–42 by William Burn, and St Mary's Church, rebuilt in 1843–44, also by Burn, following a fire. Other significant churches in the city include the Gothic Revival Episcopal Cathedral of St Paul's, built by Sir George Gilbert Scott in 1853 on the former site of Dundee Castle in the High Street, and the Catholic St. Andrew's Cathedral, built in 1835 by George Mathewson in Nethergate. As a result of the destruction suffered during the Rough Wooing, little of the mediaeval city (aside from St Mary's Tower) remains and the earliest surviving domestic structures date from the Early Modern Era. A notable example is the Wishart Arch (or East Port) in Cowgate. It is the last surviving portion of the city walls. Dating from prior to 1548, it owes its continued existence to its association with the Protestant martyr George Wishart, who is said to have preached to plague victims from the East Port in 1544. Another is the building complex on the High Street known as Gardyne's Land, parts of which date from around 1560. The Howff burial ground in the northern part of the City Centre also dates from this time; it was given to the city by Mary Queen of Scots in 1564, having previously served as the grounds of a Franciscan abbey. Several castles can be found in Dundee, mostly from the Early Modern Era. The earliest parts of Mains Castle in Caird Park were built by David Graham in 1562 on the site of a hunting lodge of 1460. Dudhope Castle, originally the seat of the Scrymgeour family, dates to the late 16th century and was built on the site of a keep of 1460. Claypotts Castle, a striking Z plan castle in West Ferry, was built by John Strachan and dates from 1569 to 1588. In 1495 Broughty Castle was built and remained in use as a major defensive structure until 1932, playing a role in the Anglo-Scottish Wars and the Wars of the Three Kingdoms. The castle stands on a shallow tip projecting into the Firth, alongside two beaches, one of sand, the other of pebbles. The ruins of Powrie Castle, north of Fintry, date from the 16th-century castle north. North of the City Churches, at the end of Reform Street, lies the High School of Dundee, built in 1829–34 by George Angus in a Greek Revival style. Another school building of note is Morgan Academy on Forfar Road, built in 1863, designed by John Dick Peddie in a Dutch Gothic style. Dundee's industrial history as a centre for textile production is apparent throughout the city. Numerous former jute mills remain standing and while some lay derelict, many have been converted for other uses. Of particular note are the Tay Works, built by the Gilroy Brothers c.1850–1865, Camperdown Works in Lochee, which built and owned by Cox Brothers, one of Europe's largest jute manufacturing companies, and begun in 1849, and Upper Dens Mill and Lower Dens Works, built by the Baxter Brothers in the mid-19th century. A more recent landmark is the Tower Building of the University of Dundee built between 1959 and 1961. At the time of its construction only the Old Steeple was taller in the city. The Tower was built to replace the original college buildings which stood on the site. The building houses the university's main administration and includes galleries and the university's Archive, Records Management and Museum Services. Many 1960s landmark multi-storey housing buildings were demolished in the late 2000s. The former Tayside House block, nicknamed 'Faulty Towers' by many local people, was demolished in 2013 as part of the waterfront redevelopment program. According to the architectural historian Charles McKean and his co-authors of Lost Dundee, the best views in the city were from Tayside House, because these were the only views from which the building itself could not be seen. Transport Road Dundee is served by the A90 road which connects the city to the M90 and Perth in the west, and Forfar and Aberdeen in the north. The part of the road that is in the city is a dual carriageway and forms the city's main bypass on its north side, known as the Kingsway. East of the A90's Forfar Road junction, the Kingsway East continues as the A972, and meets the A92 at the Scott Fyffe roundabout. Travelling east, the A92 connects the city to Arbroath and Montrose and to the south with Fife via the Tay Road Bridge. The A930 links the city with coastal settlements to the east, including, Monifieth and Carnoustie. Progressing westward from where the A92 meets the Tay Road Bridge at the Riverside Roundabout, the A85 follows the southern boundary of the city along Riverside Drive and towards the A90 at the Swallow Roundabout. The A85 multiplexes with the A90 and diverges again at Perth. Also meeting the A92 and A85 at the Riverside Roundabout is the A991 Inner Ring Road, which surrounds the perimeter of the city centre, returning to the A92 on the east side of the Tay Road Bridge. The A923 Dundee to Dunkeld road meets the A991 at the Dudhope Roundabout, and the A929 links the A991 to the A90 via Forfar Road. Dundee has an extensive network of bus routes. The Seagate bus station is the city's main terminus for journeys out of town. Xplore Dundee operates most of the intra-city services, with other more rural services operated by Stagecoach Strathtay. The city's two railway stations are the main Dundee station near the waterfront, which has now finished re-construction as part of the waterfront re-development program, and the much smaller Broughty Ferry station at the eastern end of the city. Rail There are other nearby stations at Invergowrie, Balmossie and Monifieth. Passenger services at Dundee are provided by Abellio ScotRail, CrossCountry, Caledonian Sleeper and London North Eastern Railway. No freight trains serve the city since the Freightliner terminal in Dundee was closed in the 1980s. There are also many intercity bus services offered by Megabus, Citylink and National Express. Airport Dundee Airport offers commercial flights to London City Airport and Belfast City by Scotland's Airline - Loganair .The airport is capable of serving small aircraft and is located west of the city centre, adjacent to the River Tay. The nearest major international airport is Edinburgh Airport, to the south. Seaport The cargo port of Dundee is one of the largest economic generators in the city and is operated by Forth Ports. Seafarers arriving at the port are offered welfare and pastoral assistance by seafarers charity Apostleship of the Sea. Education Colleges and universities Dundee is home to two universities and a student population of approximately 20,000. The University of Dundee became an independent entity in 1967, after 70 years of being incorporated into the University of St Andrews. It was founded in 1881 by Mary Ann Baxter and her distant cousin John Boyd Baxter as University College, Dundee, and teaching began in 1883. It fully merged with the University of St Andrews in 1897 and was reorganised as Queen's College, Dundee in 1954. Significant research in biomedical fields is carried out in the School of Life Sciences. The University is also home to Dundee Law School, situated in the Scrymgeour Building on the main campus and the School of Medicine, based at the city's Ninewells Hospital. The university also incorporates the Duncan of Jordanstone College of Art and Design and the teacher training college. Abertay University was founded as Dundee Institute of Technology in 1888. Previously, the buildings formed Bell Street Technical College, a further education college. It was granted university status in 1994 under the Further and Higher Education Act, 1992. The university is noted for its computing and creative technology courses, particularly in the fields of computer games technology and cyber-security. Notable alumni include David Jones, founder of DMA Design (now known as Rockstar North), Sir Brian Souter, founder of Stagecoach, and Lord Iain McNicol, former General Secretary of the Labour Party. Dundee College is the city's umbrella further education college, which was established in 1985 as an institution of higher education and vocational training. As of 2013, it merged with Angus College in Arbroath, to become Dundee and Angus College (D&A College). The Al-Maktoum College of Higher Education was established in Dundee in Blackness Road in 2002. It is a research-led institution of higher education which are currently offering programmes accredited by SQA in the study of Islam and Muslims, Arabic language and Islamic Economics and Finance. It is an independent institution. It is named after its patron, Hamdan bin Rashid Al Maktoum. Schools Schools in Dundee have a pupil enrolment of over 20,300. There are 37 primary state schools and 8 secondary state schools in the city. There are 11 primary and 2 secondary Roman Catholic denominational schools which, as in the rest of Scotland, are open to children of all denominations. The remainder are non-denominational. There is also one specialist school that caters for pupils with learning difficulties aged between five and 18 from Dundee and the surrounding area. Dundee has one independent school, the High School of Dundee, which was founded in the 13th century by the Abbot and monks of Lindores Abbey. The current building was designed by George Angus in a Greek Revival style and built in 1832–34. Notable students in the early modern period included Thomas Thomson, Hector Boece, and the brothers James, John and Robert Wedderburn who were the authors of The Gude and Godlie Ballatis, used early in the Scottish Reformation as a vehicle to spread Protestant theology. It was the earliest Reformed school in Scotland, having adopted the new religion in 1554. According to Blind Harry's largely apocryphal work The Actes and Deidis of the Illustre and Vallyeant Campioun Schir William Wallace, William Wallace was also educated in Dundee. Religious sites Christian groups The Church of Scotland Presbytery of Dundee is responsible for overseeing the worship of 37 congregations in and around the Dundee area, although changing population patterns have led to some of the churches becoming linked charges. Due to their city centre location, the City Churches, Dundee Parish Church (St Mary's) and the Steeple Church, are the most prominent Church of Scotland buildings in Dundee. They are on the site of the medieval parish kirk of St Mary, of which only the 15th-century west tower survives. The attached church was once the largest parish church in medieval Scotland. Dundee was unusual among Scottish medieval burghs in having two parish kirks; the second, dedicated to St Clement, has disappeared, but its site was approximately that of the present City Square. Other presbyterian groups include the Free Church which meet at St. Peters (the historic church of Robert Murray M'Cheyne) where prominent theologians David Robertson and Sinclair B. Ferguson regularly preach. In the Middle Ages Dundee was also the site of houses of the Dominicans (Blackfriars), and Franciscans (Greyfriars), and had a number of hospitals and chapels. These establishments were sacked during the Scottish Reformation, in the mid-16th century, and were reduced to burial grounds, now Barrack Street (also referred to as the Dek-tarn street) and The Howff burial ground, respectively. St. Paul's Cathedral is the seat of the Scottish Episcopal Diocese of Brechin. It is charged with overseeing the worship of 9 congregations in the city, as well as a further 17 in Angus, the Carse of Gowrie and parts of Aberdeenshire. The diocese is led by Bishop Nigel Peyton. St. Andrew's Cathedral is the seat of the Roman Catholic Diocese of Dunkeld, led by Bishop Stephen Robson. The diocese is responsible for overseeing 15 congregations in Dundee and 37 in the surrounding area, including St Mary, Our Lady of Victories Church in the city. There are Methodist, Baptist, Congregationalist, United Reformed Church, Pentecostalist and Salvation Army churches in the city, and non-mainstream Christian groups are also well represented, including the Unitarians, the Society of Friends, the Jehovah's Witnesses, Seventh-day Adventists, Christadelphians, and the Church of Jesus Christ of Latter-day Saints. Other religious communities Muslims are served by the Dundee Central Mosque built in 2000 to replace their former premises on the Hilltown. There are three other mosques in the city including; Jamia Masjid Tajdare Madina on Victoria Road, Jame Masjid Bilal on Dura Street and Al Maktoum Mosque on Wilkie's Lane. Alongside these there is an Islamic Society on the University of Dundee campus. The Sikh community is served by the Guru Nanak Gurdwara on Victoria Road, which serves its community in Dundee. A recorded Jewish community has existed in the city since the early 19th century. There is a small Orthodox synagogue at Dudhope Park that was built in the 1960s, with the Hebrew Burial Grounds located three miles (5 km) to the east. Dundee Buddhist Group is a Buddhist Temple based in Reform Street. There is also a Hindu mandir in Taylor's Lane situated in the West End of the city. Culture Dundee made a bid to be named the 2017 UK City of Culture, and on 19 June 2013 was named as one of the four short-listed cities alongside Hull, Leicester and Swansea Bay. Ultimately, Dundee's bid was unsuccessful, with Hull winning the contest. Dundee came in fifth place in a newspaper survey regarding numbers of cultural venues in the United Kingdom, ahead of other Scottish cities. In August 2021, Dundee made a joint bid with Perth and Kinross, Angus and Fife for the UK City of Culture again in 2025 under the title of 'Tay Cities'. Dundee also went to bid to become the European Capital of Culture in 2023 but due to the United Kingdom voting to leave the European Union in June 2016, Dundee's bid, along with those of other British cities submitting bids, was discontinued by the European Commission. Museums and galleries The city's main museum and art gallery, McManus Galleries, is in Albert Square. The exhibits include work by James McIntosh Patrick, Alberto Morrocco and David McClure amongst the collection of fine and decorative art, items from Dundee's history and natural history artefacts. Dundee Contemporary Arts (abbreviated DCA) opened in 1999 is an international art centre in the Nethergate close to Dundee Rep, which houses two contemporary art galleries, a two-screen arthouse cinema, a print studio, a visual research centre and a café bar. Britain's only full-time public observatory, Mills Observatory at the summit of the city's Balgay Hill, was given to the city by linen manufacturer and keen amateur scientist John Mills in 1935. Sensation Science Centre in the Greenmarket is a science centre based on the five senses with a series of interactive shows and exhibits. Verdant Works is a museum dedicated to the once dominant jute industry in Dundee and is based in a former jute mill. The University of Dundee also runs several public museums and galleries, including the D'Arcy Thompson Zoology Museum and the Tayside Medical History Museum. The university, through Duncan of Jordanstone College of Art and Design also offers the Cooper Gallery for contemporary art, and its archives including: the abcD (artists' books collection Dundee); the REWIND Archive (video art collection); and the Richard Demarco Digital Archive. The V&A Dundee Museum of Design opened in September 2018 and is built south of Craig Harbour onto the River Tay in a building designed by Kengo Kuma. It was officially opened by the Earl and Countess of Strathearn in 2019. It is the centrepiece of the city's waterfront redevelopment. The new museum may bring another 500,000 extra visitors to the city and create up to 900 jobs. The city's archival records are mostly kept by two archives: Dundee City Archives, operated by Dundee City Council and the University of Dundee's Archive Services. Dundee City Archives holds the official records of the city and of the former Tayside Regional Council. The archive also holds the records of various people, groups and organisations connected to the city. The university's Archive Services hold a wide range of material relating to the university and its predecessor institutions and to individuals associated with the university, such as D'Arcy Wentworth Thompson. Archive Services also holds the archives of several individuals, businesses and organisations based in Dundee and the surrounding area. The records held include a substantial number of business archives relating to the jute and linen industry in Dundee; records of other businesses including the archives of the Alliance Trust and the department store G. L. Wilson; the records of the Brechin Diocese of the Scottish Episcopal Church; and the NHS Tayside Archive. The same archive also holds the Michael Peto collection which includes thousands of the photojournalist's photographs, negatives, slides, publications and papers. Literature Dundee has a strong literary heritage, with several authors having been born, lived or studied in the city. These include A. L. Kennedy, Rosamunde Pilcher, Kate Atkinson, Thomas Dick, Mary Shelley, Mick McCluskey, John Burnside and Neil Forsyth. The Dundee International Book Prize is a biennial competition open to new authors, offering a prize of £10,000 and publication by Polygon Books. Past winners have included: Andrew Murray Scott, Claire-Marie Watson and Malcolm Archibald. William McGonagall, regularly cited as the "world's worst poet", worked and wrote in the city, often giving performances of his work in pubs and bars. Many of his poems are about the city and events therein, such as his work The Tay Bridge Disaster. Dundee's poetic heritage is represented by the 2013 poetry anthology Whaleback City''' edited by W. N. Herbert and Andy Jackson (Dundee University Press) containing poems by McGonagall, Don Paterson, Douglas Dunn, John Burnside and many others. City of Recovery Press was founded in Dundee, and has become a controversial figure in documenting the darker side of the city. Cinema The Dundee Mountain Film Festival (DMFF), held in the last weekend of November, presents the best presenters and films of the year in mountaineering, mountain culture and adventure sport, along with an art and trade exhibition. DMFF is also one of the members of International Alliance for Mountain Film (IAMF) among other important international mountain film festivals. Dundee Contemporary Arts hosts an annual horror film festival called Dundead, which started in 2011. The city also has two Multiplex cinemas, Odeon and Cineworld. Music Dundee is home to a full-time repertory ensemble, which originated in 1939. One of its alumni, Hollywood actor Brian Cox, is a native of the city. The Dundee Repertory Theatre, built in 1982, is also the base for the Scottish Dance Theatre company. Dundee's principal concert auditorium, the Caird Hall (named after its benefactor, the jute baron James Key Caird) in the City Square regularly hosts the Royal Scottish National Orchestra. Various smaller venues host local and international musicians during Dundee's annual Jazz, Guitar and Blues Festivals. Dundee has hosted the National Mod a number of times – 1902, 1913, 1937, 1959 and 1974. Dundee also hosted BBC Radio 1's Big Weekend back in 2006 and was due to host for a second time in 2020 but it was cancelled due to the COVID-19 pandemic. Due to this, there is speculation that the city will host the 2021 festival. Popular music groups such as the 1970s soul-funk outfit Average White Band, the Associates, the band Spare Snare, Danny Wilson, The Hazey Janes, and the Indie rock bands The View and The Law are from Dundee. Musician, songwriter and performer Michael Marra was born and raised in Dundee. Ricky Ross of Deacon Blue and singer-songwriter KT Tunstall are former pupils of the High School of Dundee, although Tunstall is not a native of the city. The Northern Irish indie rock band Snow Patrol was formed by students at the University of Dundee. Brian Molko, lead singer of Placebo, grew up in the city as did Ian Cussick, singer of Lake. At the end of June, Dundee hosts an annual blues festival known as the Dundee Blues Bonanza. Media Dundee is home to DC Thomson & Son Ltd, established in 1905, which produces over 200 million magazines, newspapers and comics every year; these include The Beano, The Dandy and The Press and Journal. Dundee is home to one of eleven BBC Scotland broadcasting centres, located within the Nethergate Centre. STV North's Tayside news and advertising operations are based in the Seabraes area of the city, from where an STV News Tayside opt-out bulletin is broadcast, (though not on Digital Satellite), within the nightly regional news programme, STV News at Six''. The city also had a community internet TV station called The Dundee Channel which was launched on 1 September 2009. The city has three local radio stations. Radio Tay was launched on 17 October 1980. The station split frequencies in January 1995 launching Tay FM for a younger audience and Tay 2 playing classic hits. In 1999, Discovery 102 was launched, later to be renamed Wave 102 following a claim by The Discovery Channel that the station could mistakenly be linked to its brand. Sports and recreation Football Dundee has two professional football clubs: Dundee, founded in 1893, and Dundee United, founded in 1909 as Dundee Hibernian. Dundee FC and Dundee United currently play in the Scottish Premiership. Their grounds Dens Park and Tannadice Park are just 100 metres apart, closer together than any other football stadiums in the UK. The Dundee derby is one of the most highly anticipated fixtures in Scottish football. Dundee is one of four British cities to have produced two European Cup semi-finalists. Dundee lost to A.C. Milan in 1963 and Dundee United lost to A.S. Roma in 1984. Dundee also reached the semi-finals of the forerunner to the UEFA Cup in 1968 and Dundee United were runners-up in the UEFA Cup in 1987. There are also seven junior football teams in the area: Dundee North End, East Craigie, Lochee Harp, Lochee United, Dundee Violet, Broughty Athletic and Downfield. Ice hockey Dundee Stars, the main ice hockey team, play at the Dundee Ice Arena. The team joined the Elite League in the 2010/2011 season. They are one of three professional ice hockey teams in Scotland, and play against teams from England, Wales and Northern Ireland in the Elite League. in the 2013/2014 season, Dundee Stars won the Gardiner Conference trophy, their only one to date. The majority of the players are from Canada and the United States. Omar Pacha is the current head coach and general manager of the Dundee Stars. There are also two amateur ice hockey teams, Dundee Tigers and Dundee Comets, who both play in the Scottish National League. Rugby The city is also home to six rugby union teams. Dundee High School Former Pupils play in Scottish National League Division One, the second tier of Scottish club rugby. The remainder of the teams compete in the Caledonia Regional League – Harris Academy FP play in Caledonia Division One, Morgan Academy FP and Panmure in Caledonia Division Two Midlands, Dundee University Medics and Stobswell in Caledonia Division Three Midlands. Other sports Local sports clubs include Dundee Handball Club, Grove Menzieshill Hockey Club; Dundee Wanderers Hockey Club, Dundee Volleyball Club, Dundee Northern Lights Floorball Club, Dundee Hawkhill Harriers, Dundee City Aquatics, Dundee Hurricanes and Dundee & Angus Radio Controlled Car Klub (DARCCK). The new £36 million Olympia leisure centre with multi-storey car park was scheduled to open in late 2012, but only three weeks from the original opening date, the date was pushed back by a further six months. There is a velodrome, Caird Park Velodrome. Public services Dundee and the surrounding area is supplied with water by Scottish Water. Dundee, along with parts of Perthshire and Angus is supplied from Lintrathen and Backwater reservoirs in Glen Isla. Electricity distribution is by Scottish Hydro Electric plc, part of the Scottish and Southern Energy group. Waste management is handled by Dundee City Council. There is a kerbside recycling scheme that currently only serves 15,500 households in Dundee. Cans, glass and plastic bottles are collected on a weekly basis. Compostable material and non-recyclable material are collected on alternate weeks. Paper is collected for recycling on a four-weekly basis. Recycling centres and points are at a number of locations in Dundee. Items accepted include steel and aluminium cans, cardboard, paper, electrical equipment, engine oil, fridges and freezers, garden waste, gas bottles, glass, liquid food and drinks cartons, plastic bottles, plastic carrier bags, rubble, scrap metal, shoes and handbags, spectacles, textiles, tin foil, wood and yellow pages. Recent figures taken in 2008, suggest the city council has a recycling rate of 36.1%. Law enforcement is provided by Police Scotland. The headquarters of the Dundee Branch of Police Scotland is situated in West Bell Street. There are also four police stations which serve the city: Maryfield, Lochee, Downfield and Longhaugh. Healthcare is supplied in the area by NHS Tayside. Ninewells Hospital, is the only hospital with an accident and emergency department in the area. Primary Health Care in Dundee is supplied by a number of General Practices. Dundee is also served by the East Central Region of the Scottish Ambulance Service which covers the city, Tayside and Kingdom of Fife. There is one ambulance station for the city; on West School Road. The Scottish Fire and Rescue Service operate three fire stations, covering the city and surrounding villages. The main station is at Blackness Road and there is a control room at Macalpine Road fire station. Sister cities Chronologically: Orléans, France (1946) Zadar, Croatia (1959) Alexandria, Virginia, United States (1962) Würzburg, Germany (1962) Nablus, Palestine (1980) Dubai, United Arab Emirates (2004) West Dundee, Illinois, United States (2013) Freedom of the City The following people and military units have received the Freedom of the City of Dundee. Individuals Sir John Leng: 1902. Whitelaw Reid: 1906. Rt Hon H. H. Asquith : October 1912. Emma Grace Marryat: 1918. Rt Hon Thomas Johnston : 1947. HM Queen Elizabeth The Queen Mother: 1954. Maurice McManus: 1981. Nelson Mandela: 9 October 1993. Rt Hon Ramsay MacDonald Rt Hon Stanley Baldwin Rev. William Macmillan James McLean Military Units The Black Watch (Royal Highland Regiment): 1954. See also Brittle Bone Society, a UK charity established in 1968 in Dundee Dundee Museum of Transport History of Dundee#Notable Dundonians and people associated with Dundee Alexander C. Lamb and references to the Lamb Collection, which is held in the City Museum and the Local History Centre of Dundee Central Library Notes References News Websites Maps Listed building reports Bibliography External links Dundee City Council National Library of Scotland: SCOTTISH SCREEN ARCHIVE (selection of archive films about Dundee) Port cities and towns in Scotland Port cities and towns of the North Sea Lieutenancy areas of Scotland Council areas of Scotland Cities in Scotland Parishes of Scotland Populated places in Dundee
8832
https://en.wikipedia.org/wiki/West%20Memphis%20Three
West Memphis Three
The West Memphis Three are three men convicted as teenagers in 1994 of the 1993 murders of three boys in West Memphis, Arkansas, United States. Damien Echols was sentenced to death, Jessie Misskelley Jr. to life imprisonment plus two 20-year sentences, and Jason Baldwin to life imprisonment. During the trial, the prosecution asserted that the juveniles killed the children as part of a Satanic ritual. Due to the dubious nature of the evidence as well as the suspected presence of emotional bias in court, the case generated widespread controversy and was the subject of several documentaries. Celebrities and musicians held fundraisers to support efforts to free the men. In July 2007, new forensic evidence was presented. A report jointly issued by the state and the defense team stated, "Although most of the genetic material recovered from the scene was attributable to the victims of the offenses, some of it cannot be attributed to either the victims or the defendants." Following a 2010 decision by the Arkansas Supreme Court regarding newly produced DNA evidence and potential juror misconduct, the West Memphis Three negotiated a plea bargain with prosecutors. On August 19, 2011, they entered Alford pleas, which allowed them to assert their innocence while acknowledging that prosecutors have enough evidence to convict them. Judge David Laser accepted the pleas and sentenced the three to time served. They were released with 10-year suspended sentences, having served 18 years. The crime On May 5, 1993, three eight-year-old boys (Steve Branch, Michael Moore and Christopher Byers) were reported missing in West Memphis, Arkansas. The first report to the police was made by Byers' adoptive father, John Mark Byers, around 7:00 pm. The boys were allegedly last seen together by three neighbors, who in affidavits told of seeing them playing together around 6:30 pm the evening they disappeared and seeing Terry Hobbs, Steve Branch's stepfather, calling them to come home. Initial police searches made that night were limited. Friends and neighbors also conducted a search that night, which included a cursory visit to the location where the bodies were later found. A more thorough police search for the children began around 8:00 am on May 6, led by the Crittenden County Search and Rescue personnel. Searchers canvassed all of West Memphis but focused primarily on Robin Hood Hills, where the boys were reported last seen. Despite a shoulder-to-shoulder search of Robin Hood Hills by a human chain, searchers found no sign of the missing boys. Around 1:45 pm, juvenile Parole Officer Steve Jones spotted a boy's black shoe floating in a muddy creek that led to a major drainage canal in Robin Hood Hills. A subsequent search of the ditch revealed the bodies of three boys. They had been stripped naked and were hogtied with their own shoelaces, their right ankles tied to their right wrists behind their backs, the same with their left arms and legs. Their clothing was found in the creek, some of it twisted around sticks that had been thrust into the muddy ditch bed. The clothing was mostly turned inside-out; two pairs of the boys' underwear were never recovered. Christopher Byers had lacerations to various parts of his body and mutilation of his scrotum and penis. The autopsies by forensic pathologist Frank J. Peretti indicated that Byers died of "multiple injuries", while Moore and Branch died of "multiple injuries with drowning". Police initially suspected the boys had been raped; however, later expert testimony disputed this finding. Trace amounts of sperm DNA were found on a pair of pants recovered from the scene. Prosecution experts claim Byers' wounds were the results of a knife attack and that he had been purposely castrated by the murderer; defense experts claim the injuries were most likely the result of post-mortem animal predation. Police believed the boys were assaulted and killed at the location where they were found; critics argued that the assault, at least, was unlikely to have occurred at the creek. Byers was the only victim with drugs in his system; he was prescribed Ritalin (methylphenidate) in January 1993 as part of treatment of an attention-deficit hyperactivity disorder. The initial autopsy report describes the drug as Carbamazepine and the dosage at a sub-therapeutic level. His father said Byers may not have taken his prescription on May 5, 1993. Victims Steve Edward Branch, Christopher Byers and Michael Moore were all second graders at Weaver Elementary School. Each had achieved the rank of "Wolf" in the local Cub Scout pack and were best friends. Steve Edward Branch Steve Branch was the son of Steven and Pamela Branch, who divorced when he was an infant. His mother was awarded custody and later married Terry Hobbs. Branch was eight years old, 4 ft. 2 tall, weighed 65 lbs, and had blond hair. He was last seen wearing blue jeans and a white T-shirt, and riding a black and red bicycle. He was an honor student. He lived with his mother, Pamela Hobbs, his stepfather, Terry Hobbs, and a four-year-old half-sister, Amanda. Steve Edward Branch is buried in Mount Zion Cemetery in Steele, Missouri. Christopher Mark Byers Christopher Byers was born to Melissa DeFir and Ricky Murray. His parents divorced when he was four years old; shortly afterward, his mother married John Mark Byers, who adopted the boy. Byers was eight years old, 4 ft. tall, weighed 52 lbs, and had light brown hair. He was last seen wearing blue jeans, dark shoes, and a white long-sleeved shirt. He lived with his mother, Sharon Melissa Byers, his adoptive father, John Mark Byers, and his stepbrother, Shawn Ryan Clark, aged 13. According to his mother, Christopher was a typical eight-year-old. "He still believed in the Easter Bunny and Santa Claus". Christopher Mark Byers is buried in Forest Hill Cemetery East in Memphis, Tennessee. James Michael Moore Michael Moore was the son of Todd and Dana Moore. He was eight years old, 4 ft. 2 tall, weighed 55 lbs, and had brown hair. He was last seen wearing blue pants, a blue Boy Scouts of America shirt, and an orange and blue Boy Scout hat, and riding a light green bicycle. Moore enjoyed wearing his scout uniform even when he was not at meetings. He was considered the leader of the three. He lived with his parents and his nine-year-old sister, Dawn. James Michael Moore is buried in Crittenden Memorial Park Cemetery in Marion, Arkansas. Victims memorial In 1994, a memorial was erected for the three murder victims. The memorial is located in the playground of Weaver Elementary School in West Memphis, where all three victims were second graders at the time of the crime. In May 2013, for the 20th anniversary of the slayings, Weaver Elementary School principal Sheila Grissom raised funds to refurbish the memorial. Suspects Baldwin, Echols, and Misskelley At the time of their arrests, Jessie Misskelley, Jr. was 17 years old, Jason Baldwin was 16 years old, and Damien Echols was 18 years old. Baldwin and Echols had been previously arrested for vandalism and shoplifting, respectively, and Misskelley had a reputation for his temper and for engaging in fistfights with other teenagers at school. Misskelley and Echols had dropped out of high school; however, Baldwin earned high grades and demonstrated a talent for drawing and sketching, and was encouraged by one of his teachers to study graphic design in college. Echols and Baldwin were close friends, and bonded over their similar tastes in music and fiction, and over their shared distaste for the prevailing cultural climate of West Memphis, situated in the Bible Belt. Baldwin and Echols were acquainted with Misskelley from school, but were not close friends with him. Echols' family was poor and received frequent visits from social workers, and he rarely attended school. He and a girlfriend had run off and later broken into a trailer during a rain storm; they were arrested, though only Echols was charged with burglary. Echols spent several months in a mental institution in Arkansas and afterward received "full disability" status from the Social Security Administration. During Echols' trial, Dr. George W. Woods testified (for the defense) that Echols suffered from: serious mental illness characterized by grandiose and persecutory delusions, auditory and visual hallucinations, disordered thought processes, substantial lack of insight, and chronic, incapacitating mood swings. At his death penalty sentencing hearing, Echols' psychologist reported that months before the murders, Echols had claimed that he obtained super powers by drinking human blood. At the time of his arrest, Echols was working part-time with a roofing company and expecting a child with his girlfriend, Domini Teer. Chris Morgan and Brian Holland Early in the investigation, the WMPD briefly regarded two West Memphis teenagers as suspects. Chris Morgan and Brian Holland, both with drug offense histories, had abruptly departed for Oceanside, California, four days after the bodies were discovered. Morgan was presumed to be at least casually familiar with all three murdered boys, having previously driven an ice cream truck route in their neighborhood. Arrested in Oceanside on May 17, 1993, Morgan and Holland both took polygraph exams administered by California police. Examiners reported that both men's charts indicated deception when they denied involvement in the murders. During subsequent questioning, Morgan claimed a long history of drug and alcohol use, along with blackouts and memory lapses. He claimed that he "might have" killed the victims but quickly recanted this part of his statement. California police sent blood and urine samples from Morgan and Holland to the WMPD, but there is no indication WMPD investigated Morgan or Holland as suspects following their arrest in California. The relevance of Morgan's recanted statement would later be debated in trial, but it was eventually barred from admission as evidence. "Mr. Bojangles" The citing of a black male as a possible alternate suspect was implied during the beginning of the Misskelley trial. According to local West Memphis police officers, on the evening of May 5, 1993, at 8:42 pm, workers in the Bojangles' restaurant located about a mile from the crime scene in Robin Hood Hills reported seeing a black male who seemed "mentally disoriented" inside the restaurant's ladies' room. The man was bleeding and had brushed against the restroom walls. Officer Regina Meeks responded to the call, taking the restaurant manager's report through the eatery's drive-through window. By then, the man had left, and police did not enter the restroom on that date. The day after the victims' bodies were found, Bojangles' manager Marty King, thinking there was a possible connection to the bloody man found in the bathroom, reported the incident to police officers who then inspected the ladies' room. The man reportedly wore a "blue cast type brace on his arm that had white Velcro on it", which would have made it difficult to tie up and murder three young boys. King gave the officers a pair of sunglasses he thought the man had left behind, and the detectives took some blood samples from the walls and tiles of the restroom. Police detective Bryn Ridge testified that he later lost those blood scrapings. A hair identified as belonging to a black male was later recovered from a sheet wrapped around one of the victims. Investigation Evidence and interviews Police officers James Sudbury and Steve Jones felt that the crime had "cult" overtones, and that Damien Echols might be a suspect because he had an interest in occultism, and Jones felt Echols was capable of murdering children. The police interviewed Echols on May 7, two days after the bodies were discovered. During a polygraph examination, he denied any involvement. The polygraph examiner claimed that Echols' chart indicated deception. On May 9, during a formal interview by Detective Bryn Ridge, Echols mentioned that one of the victims had wounds to the genitals; law enforcement viewed this knowledge as incriminating. After a month had passed with little progress in the case, police continued to focus their investigation upon Echols, interrogating him more frequently than any other person. Nonetheless, they claimed he was not regarded as a direct suspect but a source of information. On June 3, the police interrogated Jessie Misskelley, Jr. Despite his reported IQ of 72 (categorizing him as borderline intellectual functioning) and his status as a minor, Miskelley was questioned alone; his parents were not present during the interrogation. Misskelley's father gave permission for Misskelley to go with police but did not explicitly give permission for his son to be questioned or interrogated. Misskelley was questioned for roughly 12 hours. Only two segments, totaling 46 minutes, were recorded. Misskelley quickly recanted his confession, citing intimidation, coercion, fatigue, and veiled threats from police. Misskelley specifically said he was "scared of the police" during this confession. Though he was informed of his Miranda rights, Misskelley later claimed he did not fully understand them. In 1996, the Arkansas Supreme Court ruled that Misskelley's confession was voluntary and that he did, in fact, understand the Miranda warning and its consequences. Portions of Misskelley's statements to the police were leaked to the press and reported on the front page of the Memphis Commercial Appeal before any of the trials began. Shortly after Misskelley's first confession, police arrested Echols and his close friend Baldwin. Eight months after his original confession, on February 17, 1994, Misskelley made another statement to police. His lawyer, Dan Stidham, remained in the room and continually advised Misskelley not to say anything. Misskelley ignored this advice and went on to detail how the boys were abused and murdered. Stidham, who was later elected to a municipal judgeship, has written a detailed critique of what he asserts are major police errors and misconceptions during their investigation. Stidham made similar comments during a radio show interview in May 2010. Vicki Hutcheson Vicki Hutcheson, a new resident of West Memphis, would play an important role in the investigation, though she would later recant her testimony, claiming her statements were fabricated due in part to coercion from police. On May 6, 1993 (before the victims were found later the same day), Hutcheson took a polygraph exam by Detective Don Bray at the Marion Police Department, to determine whether or not she had stolen money from her West Memphis employer. Hutcheson's young son, Aaron, was also present, and proved such a distraction that Bray was unable to administer the polygraph. Aaron, a playmate of the murdered boys', mentioned to Bray that the boys had been killed at "the playhouse." When the bodies proved to have been discovered near where Aaron indicated, Bray asked Aaron for further details, and Aaron claimed that he had witnessed the murders committed by Satanists who spoke Spanish. Aaron's further statements were wildly inconsistent, and he was unable to identify Baldwin, Echols, or Misskelley from photo line-ups, and there was no "playhouse" at the location Aaron indicated. A police officer leaked portions of Aaron's statements to the press contributing to the growing belief that the murders were part of a Satanic rite. On or about June 1, 1993, Hutcheson agreed to police suggestions to place hidden microphones in her home during an encounter with Echols. Misskelley agreed to introduce Hutcheson to Echols. During their conversation, Hutcheson reported that Echols made no incriminating statements. Police said the recording was "inaudible", but Hutcheson claimed the recording was audible. On June 2, 1993, Hutcheson told police that about two weeks after the murders were committed, she, Echols, and Misskelley attended a Wiccan meeting in Turrell, Arkansas. Hutcheson claimed that, at the Wiccan meeting, a drunken Echols openly bragged about killing the three boys. Misskelley was first questioned on June 3, 1993, a day after Hutcheson's purported confession. Hutcheson was unable to recall the Wiccan meeting location and did not name any other participants in the purported meeting. Hutcheson was never charged with theft. She claimed she had implicated Echols and Misskelley to avoid facing criminal charges, and to obtain a reward for the discovery of the murderers. Trials Misskelley was tried separately, and Echols and Baldwin were tried together in 1994. Under the "Bruton rule", Misskelley's confession could not be admitted against his co-defendants; thus he was tried separately. All three defendants pleaded not guilty. Misskelley's trial During Misskelley's trial, Richard Ofshe, an expert on false confessions and police coercion, and Professor of Sociology at UC Berkeley, testified that the brief recording of Misskelley's interrogation was a "classic example" of police coercion. Critics have also stated that Misskelley's various "confessions" were in many respects inconsistent with each other, as well as with the particulars of the crime scene and murder victims, including (for example) an "admission" that Misskelley watched Damien rape one of the boys. Police had initially suspected that the victims had been raped because their anuses were dilated. However, there was no forensic evidence indicating that the murdered boys had been raped. Dilation of the anus is a normal post-mortem condition. On February 5, 1994, Misskelley was convicted by a jury of one count of first-degree murder and two counts of second-degree murder. The court sentenced him to life plus 40 years in prison. His conviction was appealed, but the Arkansas Supreme Court affirmed the conviction. Echols' and Baldwin's trial Three weeks later, Echols and Baldwin went on trial. The prosecution accused the three young men of committing a Satanic murder. The prosecution called Dale W. Griffis, a graduate of the unaccredited Columbia Pacific University, as an expert in the occult to testify the murders were a Satanic ritual. On March 19, 1994, Echols and Baldwin were found guilty on three counts of murder. The court sentenced Echols to death and Baldwin to life in prison. At trial, the defense team argued that news articles from the time could have been the source for Echols' knowledge about the genital mutilation, and Echols said his knowledge was limited to what was "on TV". The prosecution claimed that Echols' knowledge was nonetheless too close to the facts, since there was no public reporting of drowning or that one victim had been mutilated more than the others. Echols testified that Detective Ridge's description of their earlier conversation (which was not recorded) regarding those particular details was inaccurate (and indeed that some other claims by Ridge were "lies"). Mara Leveritt, an investigative journalist and the author of Devil's Knot, argues that Echols' information may have come from police leaks, such as Detective Gitchell's comments to Mark Byers, that circulated amongst the local public. The defense team objected when the prosecution attempted to question Echols about his past violent behaviors, but the defense objections were overruled. Aftermath Criticism of the investigation There has been widespread criticism of how the police handled the crime scene. Misskelley's former attorney Dan Stidham cites multiple substantial police errors at the crime scene, characterizing it as "literally trampled, especially the creek bed." The bodies, he said, had been removed from the water before the coroner arrived to examine the scene and determine the state of rigor mortis, allowing the bodies to decay on the creek bank and to be exposed to sunlight and insects. The police did not telephone the coroner until almost two hours after the discovery of the floating shoe, resulting in a late appearance by the coroner. Officials failed to drain the creek in a timely manner and secure possible evidence in the water (the creek was sandbagged after the bodies were pulled from the water). Stidham calls the coroner's investigation "extremely substandard." There was a small amount of blood found at the scene that was never tested. According to HBO's documentaries Paradise Lost: The Child Murders at Robin Hood Hills (1996) and Paradise Lost 2: Revelations (2000), no blood was found at the crime scene, indicating that the location where the bodies were found was not necessarily the location where the murders actually happened. After the initial investigation, the police failed to control disclosure of information and speculation about the crime scene. According to Leveritt, "Police records were a mess. To call them disorderly would be putting it mildly." Leveritt speculated that the small local police force was overwhelmed by the crime, which was unlike any they had ever investigated. Police refused an unsolicited offer of aid and consultation from the violent crimes experts of the Arkansas State Police, and critics suggested this was due to the WMPD's being under investigation by the Arkansas State Police for suspected theft from the Crittenden County drug task force. Leveritt further noted that some of the physical evidence was stored in paper sacks obtained from a supermarket (with the supermarket's name printed on the bags) rather than in containers of known and controlled origin. When police speculated about the assailant, the juvenile probation officer assisting at the scene of the murders speculated that Echols was "capable" of committing the murders," stating: "it looks like Damien Echols finally killed someone." Brent Turvey, a forensic scientist and criminal profiler, stated in the film Paradise Lost 2 that human bite marks could have been left on at least one of the victims. However, these potential bite marks were first noticed in photographs years after the trials and were not inspected by a board-certified medical examiner until four years after the murders. The defense's expert testified that the mark in question was not an adult bite mark, while experts put on by the State concluded that there was no bite mark at all. The State's experts had examined the actual bodies for any marks, and others conducted expert photo analysis of injuries. Upon further examination, it was concluded that if these marks were bite marks, they did not match the teeth of any of the three convicted. Appeals and new evidence In May 1994, the three defendants appealed their convictions; the convictions were upheld on direct appeal. In June 1996, Misskelley's lawyer, Dan Stidham, was preparing an appeal to the U.S. Supreme Court. In 2007, Echols petitioned for a retrial, based on a statute permitting post-conviction testing of DNA evidence due to technological advances made since 1994 which might provide exoneration for the wrongfully convicted. However, the original trial judge, Judge David Burnett, disallowed presentation of this information in his court. This ruling was in turn thrown out by the Arkansas Supreme Court as to all three defendants on November 4, 2010. John Mark Byers' knife (1993) John Mark Byers, the adoptive father of victim Christopher Byers, gave a knife to cameraman Doug Cooper, who was working with documentary makers Joe Berlinger and Bruce Sinofsky while filming the first Paradise Lost feature. The knife was a folding hunting knife manufactured by Kershaw. According to the statements given by Berlinger and Sinofsky, Cooper informed them of his receipt of the knife on December 19, 1993. After the documentary crew returned to New York, Berlinger and Sinofsky were reported to have discovered what appeared to be blood on the knife. HBO executives ordered them to return the knife to the West Memphis Police Department. The knife was not received at the West Memphis Police Department until January 8, 1994. Byers initially claimed the knife had never been used. However, after blood was found on the knife, Byers stated that he had used it only once, to cut deer meat. When told the blood matched both his and Chris' blood type, Byers said he had no idea how that blood might have gotten on the knife. During interrogation, West Memphis police suggested to Byers that he might have left the knife out accidentally, and Byers agreed with this. Byers later stated that he may have cut his thumb. Further testing of the knife produced inconclusive results about the source of the blood. Uncertainty remained due to the small amount of blood and because both John Mark Byers and Chris Byers had the same HLA-DQα genotype. Byers agreed to and passed a polygraph test about the murders during the filming of Paradise Lost 2: Revelations, but the documentary indicated that Byers was under the influence of several psychoactive prescription medications that could have affected the test results. Possible teeth imprints (1996–1997) Following their convictions, Echols, Misskelley, and Baldwin submitted imprints of their teeth. These were compared to the alleged bite marks on Stevie Branch's forehead that had not been mentioned in the original autopsy or trial. No matches were found. John Mark Byers had his teeth removed in 1997, after the first trial but before an imprint could be made. His stated reasons for the removal are apparently contradictory. He has claimed both that the seizure medication he was taking caused periodontal disease, and that he planned the removal because of other kinds of dental problems which had troubled him for years. After an expert examined autopsy photos and noted what he thought might be the imprint of a belt buckle on Byers' corpse, the elder Byers revealed to the police that he had spanked his stepson shortly before the boy disappeared. Vicki Hutcheson's recantation (2003) In October 2003, Vicki Hutcheson, who had played a part in the arrests of Misskelley, Echols, and Baldwin, gave an interview to the Arkansas Times in which she stated that every word she had given to the police was a fabrication. She further asserted that the police had implied that if she did not cooperate with them they would take away her child. She said that when she visited the police station, employees had photographs of Echols, Baldwin, and Misskelley on the wall and were using them as dart targets. She also claims that an audiotape the police said was "unintelligible" (and that they eventually lost) was perfectly clear and contained no incriminating statements. DNA testing and new physical evidence (2007) In 2007, DNA collected from the crime scene was tested. None was found to match DNA from Echols, Baldwin, or Misskelley. A hair "not inconsistent with" Stevie Branch's stepfather, Terry Hobbs, was found tied into the knots used to bind one of the victims. The prosecutors, while conceding that no DNA evidence tied the accused to the crime scene, said: "The State stands behind its convictions of Echols and his codefendants." Pamela Hobbs' May 5, 2009 declaration in the United States District Court, Eastern District of Arkansas, Western Division indicates that "one hair was consistent with the hair of [Terry's] friend, David Jacoby" (Point 16), and: In 2013, written statements from two men, Billy Wayne Stewart and Bennie Guy, were introduced in the court. They both claimed to have had information on the case linking Terry Hobbs to the murders, but were ignored by police initially. Foreman and jury misconduct (2008) In July 2008, it was revealed that Kent Arnold, the jury foreman on the Echols-Baldwin trial, had discussed the case with an attorney prior to the beginning of deliberations. Arnold was accused of advocating for the guilt of the West Memphis Three and sharing knowledge of inadmissible evidence, like the Jessie Misskelley statements, with other jurors. At the time, legal experts agreed that this issue could result in the reversal of the convictions of Jason Baldwin and Damien Echols. In September 2008, attorney (now judge) Daniel Stidham, who represented Misskelley in 1994, testified at a postconviction relief hearing. Stidham testified under oath that during the trial, Judge David Burnett erred by making an improper communication with the jury during its deliberations. Stidham overheard Judge Burnett discuss taking a lunch break with the jury foreman and heard the foreman reply that the jury was almost finished. He testified Judge Burnett responded, "You'll need food for when you come back for sentencing," and that the foreman asked in return what would happen if the defendant was acquitted. Stidham said the judge closed the door without answering. He testified that his own failure to put this incident on the court record and his failure to meet the minimum requirements in state law to represent a defendant in a capital murder case was evidence of ineffective assistance of counsel and that Misskelley's conviction should therefore be vacated. Request for retrial (2007–2010) On October 29, 2007, papers were filed in federal court by Echols's defense lawyers seeking a retrial or his immediate release from prison. The filing cited DNA evidence linking Terry Hobbs (stepfather of one of the victims) to the crime scene, and new statements from Hobbs' now ex-wife. Also presented in the filing was new expert testimony that the supposed knife marks on the victims, including the injuries to Byers' genitals, were in fact the result of animal predation after the bodies had been dumped. On September 10, 2008, Circuit Court Judge David Burnett denied the request for a retrial, citing the DNA tests as inconclusive. That ruling was appealed to the Arkansas Supreme Court, which heard oral arguments in the case on September 30, 2010. Arkansas Supreme Court ruling (2010) On November 4, 2010, the Arkansas Supreme Court ordered a lower judge to consider whether newly analyzed DNA evidence might exonerate the three. The justices also instructed the lower court to examine claims of misconduct by the jurors who sentenced Damien Echols to death and Jessie Misskelley and Jason Baldwin to life in prison. In early December 2010, David Burnett was elected to the Arkansas State Senate. Circuit Court Judge David Laser was selected to replace David Burnett and preside in the evidentiary hearings mandated by the successful appeal. Plea deal and release (2011) After weeks of negotiations, on August 19, 2011, Echols, Baldwin and Misskelley were released from prison as part of a plea deal, making the hearings ordered by the Arkansas Supreme Court unnecessary. The three entered into unusual Alford plea deals. The Alford plea is a legal mechanism that allows defendants to plead guilty while still asserting their actual innocence, in cases where defendants concede that prosecutors have sufficient evidence to secure a conviction. Stephen Braga, an attorney with Ropes & Gray who took up Echols's defense on a pro bono basis beginning in 2009, negotiated the plea agreement with prosecutors. Under the deal, Judge David Laser vacated the previous convictions, including the capital murder convictions for Echols and Baldwin, and ordered a new trial. Each man then entered an Alford plea to lesser charges of first- and second-degree murder while verbally stating their innocence. Judge Laser then sentenced them to time served, a total of 18 years and 78 days, and they were each given a suspended imposition of sentence for 10 years. If they re-offend they can be sent back to prison for 21 years. Factors cited by prosecutor Scott Ellington for agreeing to the plea deal included that two of the victims' families had joined the cause of the defense, that the mother of a witness who testified about Echols's confession had questioned her daughter's truthfulness, and that the State Crime Lab employee who collected fiber evidence at the Echols and Baldwin homes after their arrests had died. As part of the plea deal, the three men cannot pursue civil action against the state for wrongful imprisonment. Many of the men's supporters, and opponents who still believe them guilty, were unhappy with the unusual plea deal. In 2011, supporters pushed Arkansas Governor Mike Beebe to pardon Echols, Baldwin, and Misskelley based on their innocence. Beebe said he would deny the request unless there was evidence showing someone else committed the murders. Prosecutor Scott Ellington said the Arkansas state crime laboratory would help seek other suspects by running searches on any DNA evidence produced in private laboratory tests during the defense team's investigation. This would include running the results through the FBI's Combined DNA Index System database. Ellington said that, although he still considered the men guilty, the three would likely be acquitted if a new trial were held because of the powerful legal counsel representing them now, the loss of evidence over time, and the change of heart among some of the witnesses. Family and law enforcement opinions The families of the three victims are divided in their opinions as to the guilt or innocence of the West Memphis Three. In 2000, the biological father of Christopher Byers, Rick Murray, expressed his doubts about the guilty verdicts on the West Memphis Three website. In 2007, Pamela Hobbs, the mother of victim Stevie Branch, joined those who have publicly questioned the verdicts, calling for a reopening of the verdicts and further investigation of the evidence. In late 2007, John Mark Byers—who was previously vehement in his belief that Echols, Misskelley, and Baldwin were guilty—also announced that he now believes that they are innocent. "I had made the comment if it were ever proven the three were innocent, I'd be the first to lead the charge for their freedom," said Byers, and take "every opportunity that I have to voice that the West Memphis Three are innocent and the evidence and proof prove they're innocent." Byers has spoken to the media on behalf of the convicted, and has expressed his desire for justice for the families of both the victims and the three accused. In 2010, district Judge Brian S. Miller ordered Terry Hobbs, the stepfather of victim Stevie Branch, to pay $17,590 to Dixie Chicks singer Natalie Maines for legal costs stemming from a defamation lawsuit he filed against the band. Miller dismissed a suit Hobbs filed over Maines' remarks and writings implying that he was involved in killing his stepson. The judge said Hobbs had chosen to involve himself in public discussion over whether the convictions were just. John E. Douglas, a former longtime FBI agent and current criminal profiler, said that the murders were more indicative of a single murderer intent on degrading and punishing the victims, than of a trio of "unsophisticated" teenagers. Douglas believed that the perpetrator had a violent history and was familiar with the victims and with local geography. Douglas was formerly FBI Unit Chief for 25 years of the Investigative Support Unit of the National Center for the Analysis of Violent Crime. He stated in his report for Echols's legal team that there was no evidence the murders were linked to satanic rituals and that post-mortem animal predation could explain the alleged knife injuries. He said that the victims had died from a combination of blunt force trauma and drowning, in a crime which he believed was driven by personal cause. Documentaries, publications and studies Three films, Paradise Lost: The Child Murders at Robin Hood Hills, Paradise Lost 2: Revelations, and Paradise Lost 3: Purgatory, directed by Joe Berlinger and Bruce Sinofsky, have documented this case and are strongly critical of the verdict. The films marked the first time Metallica allowed their music to be used in a movie, which drew attention to the case. There have been a number of books about the case, also arguing that the suspects were wrongly convicted: Devil's Knot by Mara Leveritt; Blood of Innocents by Guy Reel; and The Last Pentacle of the Sun: Writings in Support of the West Memphis Three, edited by Brett Alexander Savory & M. W. Anderson, and featuring dark fiction and non-fiction by well-known writers of speculative fiction. In 2005, Damien Echols completed his memoir, Almost Home, Vol 1, offering his perspective of the case. A biography of John Mark Byers by Greg Day named Untying the Knot: John Mark Byers and the West Memphis Three was published in May 2012. Many songs were written about the case, and two albums released in support of the defendants. In 2000, The album Free the West Memphis 3 was released by KOCH Records. Organized by Eddie Spaghetti of the band Supersuckers, the album featured a number of original songs about the case and other recordings by artists such as Steve Earle, Tom Waits, L7, and Joe Strummer. In 2002, Henry Rollins worked with other vocalists from various rock, hip hop, punk and metal groups and members of Black Flag and the Rollins Band on the compilation album Rise Above: 24 Black Flag Songs to Benefit the West Memphis Three. All money raised from sales of the album are donated to the legal funds of the West Memphis Three. Metalcore band Zao's 2002 album Parade of Chaos included a track inspired by the case named "Free The Three". On April 28, 2011, the band Disturbed released a song entitled "3" as a download on their website. The song is about the West Memphis Three, with 100% of the proceeds going to their benefit foundation for their release. A website by Martin David Hill, containing approximately 160,000 words and intending to be a "thorough investigation", collates and discusses many details surrounding the murders and investigation, including some anecdotal information. Investigative journalist Aphrodite Jones undertook an exploration of the case on her Discovery Network show True Crime With Aphrodite Jones following the DNA discoveries. The episode premiered May 5, 2011, with extensive background information included on the show's page at the Investigation Discovery site. In August 2011, White Light Productions announced that the West Memphis Three would be featured on their new program Wrongfully Convicted. In January 2010, the CBS television news journal 48 Hours aired "The Memphis 3", an in-depth coverage of the history of the case including interviews with Echols and supporters. On September 17, 2011, 48 Hours re-aired the episode with the update of their release and interviews from Echols and his wife, and Baldwin. Piers Morgan Tonight aired an episode on September 29, 2011, about the three's plans for the future and continued investigations on the case. West of Memphis, directed and written by Amy J. Berg, and produced by Peter Jackson, as well as by Echols himself, premiered at the 2012 Sundance Film Festival. Actor Johnny Depp, a longtime supporter of the West Memphis Three and personal friend of Damien Echols, was on hand to support the film in its premiere at the Toronto International Film Festival in 2012. Atom Egoyan directed a dramatized feature film of the case, titled Devil's Knot, released in U.S. theaters on May 9, 2014. The film stars Reese Witherspoon and Colin Firth. Defendants Jessie Misskelley Jessie Misskelley Jr. (born July 10, 1975) was arrested in connection to the murders of May 5, 1993. After a reported 12 hours of interrogation by police, Misskelley, who has an IQ of 72, confessed to the murders, and implicated Baldwin and Echols. However, the confession was at odds with facts known by police, such as the time of the murders. Under the "Bruton rule", his confession could not be admitted against his co-defendants and thus he was tried separately. Misskelley was convicted by a jury of one count of first-degree murder and two counts of second-degree murder. The court sentenced him to life plus 40 years in prison. His conviction was appealed and affirmed by the Arkansas Supreme Court. On August 19, 2011, Misskelley, along with Baldwin and Echols, entered an Alford plea. Judge David Laser then sentenced them to 18 years and 78 days, the amount of time they had served, and also levied a suspended sentence of 10 years. All three were released from prison that same day. Since his release, Misskelley has become engaged to his high school girlfriend and enrolled in a community college to train as an auto mechanic. Charles Jason Baldwin Charles Jason Baldwin (born April 11, 1977) along with Misskelley and Echols, entered an Alford plea on August 19, 2011. Baldwin pleaded guilty to three counts of first degree murder while still asserting his actual innocence. The judge then sentenced the three men to 18 years and 78 days, the amount of time they had served, and also levied a suspended sentence of 10 years. Baldwin was initially resistant to agree to this deal, insisting as a matter of principle that he would not plead guilty to something he did not do. But, he said, his refusal would have meant that Echols stayed on death row. "This was not justice," he said of the deal. "However, they're trying to kill Damien." Since his release, Baldwin has moved to Seattle to live with friends. He is in a relationship with a woman who befriended him while he was in prison. He has stated that he plans on enrolling in college to become a lawyer in order to help wrongfully convicted persons prove their innocence. Baldwin said in a 2011 interview with Piers Morgan that he worked for a construction company and he was learning how to drive. Damien Wayne Echols Damien Wayne Echols (born Michael Wayne Hutchison, December 11, 1974) was on death row, locked-down 23 hours per day at the Varner Unit Supermax. On August 19, 2011, Echols, along with Baldwin and Misskelley, was released from prison after their attorneys and the judge handling the upcoming retrial agreed to a deal. Under the terms of the Alford guilty plea, Echols and his co-defendants accepted the sufficiency of evidence supporting the three counts of first degree murder while maintaining their innocence. DNA evidence at the scene was not found to include any from Echols or his co-defendants. Echols, ADC# 000931, entered the system on March 19, 1994. Until August 2011, he was incarcerated in the Arkansas Department of Correction (ADC) Varner Unit Supermax. In prison in 1999, he married landscape architect Lorri Davis. He moved to New York City after his release. Appeal Echols' mental stability during the years immediately prior to the murders and during his trial was the focus of his appellate legal team in their appeal attempts. In his efforts to win a new trial, Echols, 27 at the time of the appeal, claimed he was incompetent to stand trial because of a history of mental illness. The record on appeal spells out a long history of Echols' mental health problems, including a May 5, 1992, Arkansas Department of Youth Services referral for possible mental illness, a year to the day before the murders. Hospital records for his treatment in Little Rock 11 months before the killings show a history of self-mutilation and assertions to hospital staff that he gained power by drinking blood, that he had inside him the spirit of a woman who had killed her husband, and that he was having hallucinations. He also told mental health workers that he was "going to influence the world." The appellate legal team argued that Echols did not waive his assertion that he was not mentally competent before his 1994 trial because he was not competent to waive it. To assist in the appeals process, Echols' appellate legal team retained a Berkeley, California-based forensic psychiatrist, Dr. George Woods, to make their case. Echols' lawyers claimed that his condition worsened during the trial, when he developed a "psychotic euphoria that caused him to believe he would evolve into a superior entity" and eventually be transported to a different world. His psychosis dominated his perceptions of everything going on in court, Woods wrote. Echols's mental state while in prison awaiting trial was also called into question by his appellate team. Retrial request While in prison, Echols wrote letters to Gloria Shettles, an investigator for his defense team. Echols sought to overturn his conviction based on trial error, including juror misconduct, as well as the results of a DNA Status Report filed on July 17, 2007, which concluded "none of the genetic material recovered at the scene of the crimes was attributable to Mr. Echols, Echols' co-defendant, Jason Baldwin, or defendant Jessie Misskelley .... Although most of the genetic material recovered from the scene was attributable to the victims of the offenses, some of it cannot be attributed to either the victims or the defendants." Advanced DNA and other scientific evidence – combined with additional evidence from several different witnesses and experts – released in October 2007 had cast strong doubts on the original convictions. A hearing on Echols' petition for a writ of habeas corpus was held in the Federal District Court for the Eastern District of Arkansas. Release On August 19, 2011, Echols, along with Baldwin and Misskelley, entered an Alford plea, while asserting their innocence. The judge sentenced them to 18 years and 78 days, the amount of time they had served, and levied a suspended sentence of 10 years. Echols' sentence was reduced to three counts of first degree murder. Lawyers representing the West Memphis Three reached the plea deal that allowed the men to be released from prison. They were transferred to the hearing with their possessions. The plea deal did not technically result in a full exoneration; some of the convictions would stand, but the men would not admit guilt. The counsel representing the men said they would continue to pursue full exoneration. Aftermath Echols relocated to Salem, Massachusetts with his wife and has no intentions of returning to Arkansas. In an interview with Piers Morgan, he said that he would like to have a career in writing and visual arts. Echols self-published the memoir, Almost Home: My Life Story Vol. 1 (2005), while still in prison. After his release, he has worked on a number of additional media projects. Music He co-wrote the lyrics to the song "Army Reserve", on Pearl Jam's self-titled album (2006). Echols and Michale Graves released an album titled Illusions (October 2007). Art Echols began creating art while on death row as a "side effect of my spiritual, magical practice." The Copro Gallery in Los Angeles exhibited Echols' artwork (March 19 – April 16, 2016). The focus of the exhibit, titled 'SALEM,' draws attention to the comparison between the historical U.S. Salem witch trials and Echols' own experience during a modern-day U.S. witch-hunt known for false accusations of Satanic ritual abuse. On March 23, 2016, Echols gave a presentation about his art processes at the Rubin Museum of Art. Spoken word The transcript of Echols' spoken word performance in The Moth is included in a written compilation of 50 stories from the show's archives, published in 2013. Written works Punk musician Michale Graves, formerly of The Misfits, has written music to coincide with Echols' poetry. Echols' poetry has appeared in the Porcupine Literary Arts magazine (Volume 8, Issue 2). He has written non-fiction for the Arkansas Literary Forum. Since his release, he has published a non-fiction book about both his childhood and incarceration, Life After Death (2012), which includes material from his 2005 memoir. He and Lorri Davis, a NYC landscape architect who initiated a correspondence with Echols in 1999 and ultimately became his wife, co-authored Yours for Eternity: A Love Story on Death Row (2014) Television Echols provided the voice of Darryl, a fish man (i.e., a fish situated on a robot body), in episode 3 of the animated Netflix series The Midnight Gospel (2020). See also 1991 Austin yogurt shop murders False confession Moral panic Norfolk Four Witch-hunt (metaphorical usage) Notes References Further reading Article "WM3 – Jason Baldwin." Arkansas Times. January 14, 2011. Video "WM3: Life after Prison (Complete Series)." KATV-TV (Channel 7). Ran on October 30 – November 1, 2011, video posted to YouTube on February 7, 2012. External links The Encyclopedia of Arkansas History & Culture entry (The Butler Center for Arkansas Studies) West Memphis Three at the Court TV Crime Library Archive of West Memphis Three reports from Memphis Commercial Appeal Chen, Stephanie. "Echols of West Memphis 3 talks about appeal, death row." CNN. September 29, 2010. Investigation Collection Archive 1993 in Arkansas 1993 murders in the United States American murderers of children American people convicted of murder American prisoners sentenced to death Crimes involving Satanism or the occult False confessions People convicted of murder by Arkansas People who entered an Alford plea Quantified groups of defendants Satanic ritual abuse hysteria in the United States Satanic ritual abuse Trios West Memphis, Arkansas Law enforcement in Arkansas
8849
https://en.wikipedia.org/wiki/December%2020
December 20
Events Pre-1600 AD 69 – Antonius Primus enters Rome to claim the title of Emperor for Nero's former general Vespasian. 1192 – Richard I of England is captured and imprisoned by Leopold V of Austria on his way home to England after the Third Crusade. 1334 – Cardinal Jacques Fournier, a Cistercian monk, is elected Pope Benedict XII. 1601–1900 1803 – The Louisiana Purchase is completed at a ceremony in New Orleans. 1808 – Peninsular War: The Siege of Zaragoza begins. 1832 – HMS Clio under the command of Captain Onslow arrives at Port Egmont under orders to take possession of the Falkland Islands. 1860 – South Carolina becomes the first state to attempt to secede from the United States. 1901–present 1915 – World War I: The last Australian troops are evacuated from Gallipoli. 1917 – Cheka, the first Soviet secret police force, is founded. 1924 – Adolf Hitler is released from Landsberg Prison. 1941 – World War II: First battle of the American Volunteer Group, better known as the "Flying Tigers", in Kunming, China. 1942 – World War II: Japanese air forces bomb Calcutta, India. 1946 – The popular Christmas film It's a Wonderful Life is first released in New York City. 1948 – Indonesian National Revolution: The Dutch military captures Yogyakarta, the temporary capital of the newly formed Republic of Indonesia. 1951 – The EBR-1 in Arco, Idaho becomes the first nuclear power plant to generate electricity. The electricity powered four light bulbs. 1952 – A United States Air Force C-124 crashes and burns in Moses Lake, Washington, killing 87 of the 115 people on board. 1955 – Cardiff is proclaimed the capital city of Wales, United Kingdom. 1957 – The initial production version of the Boeing 707 makes its first flight. 1967 – A Pennsylvania Railroad Budd Metroliner exceeds on their New York Division, also present-day Amtrak's Northeast Corridor. 1973 – Assassination of Luis Carrero Blanco: A car bomb planted by ETA in Madrid kills three people, including the Prime Minister of Spain, Admiral Luis Carrero Blanco. 1984 – The Summit Tunnel fire, one of the largest transportation tunnel fires in history, burns after a freight train carrying over one million liters of gasoline derails near the town of Todmorden, England, in the Pennines. 1984 – Disappearance of Jonelle Matthews from Greeley, Colorado. Her remains were discovered on July 23, 2019, located about southeast of Jonelle's home. The cause of death "was a gunshot wound to the head." 1985 – Pope John Paul II announces the institution of World Youth Day. 1987 – In the worst peacetime sea disaster, the passenger ferry Doña Paz sinks after colliding with the oil tanker MT Vector in the Tablas Strait of the Philippines, killing an estimated 4,000 people (1,749 official). 1989 – The United States invasion of Panama deposes Manuel Noriega. 1991 – A Missouri court sentences the Palestinian militant Zein Isa and his wife Maria to death for the honor killing of their daughter Palestina. 1995 – NATO begins peacekeeping in Bosnia. 1995 – American Airlines Flight 965, a Boeing 757, crashes into a mountain 50 km north of Cali, Colombia, killing 159 of the 163 people on board. 1999 – Macau is handed over to China by Portugal. 2004 – A gang of thieves steal £26.5 million worth of currency from the Donegall Square West headquarters of Northern Bank in Belfast, Northern Ireland, United Kingdom, one of the largest bank robberies in British history. 2007 – Elizabeth II becomes the oldest monarch in the history of the United Kingdom, surpassing Queen Victoria, who lived for 81 years and 243 days. 2007 – The Portrait of Suzanne Bloch (1904), by the Spanish artist Pablo Picasso, and O Lavrador de Café by Brazilian modernist painter Cândido Portinari, are stolen from the São Paulo Museum of Art in Brazil. Both will be recovered a few weeks later. 2019 – The United States Space Force becomes the first new branch of the United States Armed Forces since 1947. Births Pre-1600 1494 – Oronce Finé, French mathematician and cartographer (d. 1555) 1496 – Joseph ha-Kohen, historian and physician (d. 1575) 1537 – John III, king of Sweden (d. 1592) 1576 – John Sarkander, Moravian priest and saint (d. 1620) 1601–1900 1626 – Veit Ludwig von Seckendorff, German scholar and politician (d. 1692) 1629 – Pieter de Hooch, Dutch painter (d. 1684) 1641 – Urban Hjärne, Swedish chemist, geologist, and physician (d. 1724) 1740 – Arthur Lee, American physician and diplomat (d. 1792) 1786 – Pietro Raimondi, Italian composer (d. 1853) 1792 – Nicolas Toussaint Charlet, French painter and educator (d. 1845) 1806 – Martín Carrera, Mexican general and president (1855) (d. 1871) 1812 – Laura M. Hawley Thurston, American poet and educator (d. 1842) 1838 – Edwin Abbott Abbott, English theologian, author, and educator (d. 1926) 1841 – Ferdinand Buisson, French academic and politician, Nobel Prize laureate (d. 1932) 1861 – Ferdinand Bonn, German actor (d. 1933) 1861 – Ivana Kobilca, Slovenian painter (d. 1926) 1865 – Elsie de Wolfe, American actress and interior decorator (d. 1950) 1868 – Harvey Samuel Firestone, American businessman, founded the Firestone Tire and Rubber Company (d. 1938) 1869 – Charley Grapewin, American actor (d. 1956) 1871 – Henry Kimball Hadley, American composer and conductor (d. 1937) 1873 – Kan'ichi Asakawa, Japanese historian, author, and academic (d. 1948) 1873 – Mehmet Akif Ersoy, Turkish poet, academic, and politician (d. 1936) 1881 – Branch Rickey, American baseball player and manager (d. 1965) 1886 – Hazel Hotchkiss Wightman, American tennis player and businessman (d. 1974) 1888 – Yitzhak Baer, German-Israeli historian and academic (d. 1980) 1888 – Fred Merkle, American baseball player and manager (d. 1956) 1890 – Yvonne Arnaud, French pianist, actress and singer (d. 1958) 1890 – Jaroslav Heyrovský, Czech chemist and academic, Nobel Prize laureate (d. 1967) 1891 – Erik Almlöf, Swedish triple jumper (d. 1971) 1894 – Robert Menzies, Australian lawyer and politician, 12th Prime Minister of Australia (d. 1978) 1898 – Konstantinos Dovas, Greek general and politician, 156th Prime Minister of Greece (d. 1973) 1898 – Irene Dunne, American actress and singer (d. 1990) 1899 – Martyn Lloyd-Jones, Welsh preacher and physician (d. 1981) 1900 – Lissy Arna, German film actress (d. 1964) 1901–present 1901 – Robert J. Van de Graaff, American physicist and academic, invented the Van de Graaff generator (d. 1967) 1902 – Prince George, Duke of Kent (d. 1942) 1902 – Sidney Hook, American philosopher and author (d. 1989) 1904 – Spud Davis, American baseball player, coach, and manager (d. 1984) 1904 – Yevgenia Ginzburg, Russian author (d. 1977) 1905 – Bill O'Reilly, Australian cricketer and sportscaster (d. 1992) 1907 – Paul Francis Webster, American soldier and songwriter (d. 1984) 1908 – Dennis Morgan, American actor and singer (d. 1994) 1909 – Vakkom Majeed, Indian journalist and politician (d. 2000) 1911 – Hortense Calisher, American author (d. 2009) 1914 – Harry F. Byrd Jr., American lieutenant, publisher, and politician (d. 2013) 1915 – Aziz Nesin, Turkish author and poet (d. 1995) 1916 – Michel Chartrand, Canadian trade union leader and activist (d. 2010) 1917 – David Bohm, American-English physicist, neuropsychologist, and philosopher (d. 1992) 1917 – Cahit Külebi, Turkish poet and author (d. 1997) 1917 – Audrey Totter, American actress (d. 2013) 1918 – Jean Marchand, Canadian trade union leader and politician, 43rd Secretary of State for Canada (d. 1988) 1920 – Väinö Linna, Finnish author (d. 1992) 1922 – George Roy Hill, American director, producer, and screenwriter (d. 2002) 1922 – Beverly Pepper, American sculptor and painter (d. 2020) 1924 – Charlie Callas, American actor and comedian (d. 2011) 1924 – Judy LaMarsh, Canadian soldier, lawyer, and politician, 42nd Secretary of State for Canada (d. 1980) 1925 – Benito Lorenzi, Italian footballer (d. 2007) 1926 – Geoffrey Howe, Welsh lawyer and politician, Deputy Prime Minister of the United Kingdom (d. 2015) 1926 – Otto Graf Lambsdorff, German lawyer and politician, German Federal Minister of Economics (d. 2009) 1927 – Michael Beaumont, 22nd Seigneur of Sark, English engineer and politician (d. 2016) 1927 – Jim Simpson, American sportscaster (d. 2016) 1927 – Kim Young-sam, South Korean soldier and politician, 7th President of South Korea (d. 2015) 1931 – Mala Powers, American actress (d. 2007) 1932 – John Hillerman, American actor (d. 2017) 1933 – Jean Carnahan, American author and politician 1933 – Olavi Salonen, Finnish runner 1933 – Rik Van Looy, Belgian cyclist 1935 – Khalid Ibadulla, Pakistani cricketer and sportscaster 1939 – Kathryn Joosten, American actress (d. 2012) 1939 – Kim Weston, American soul singer 1942 – Rana Bhagwandas, Pakistani lawyer and judge, Chief Justice of Pakistan (d. 2015) 1942 – Bob Hayes, American sprinter and football player (d. 2002) 1942 – Jean-Claude Trichet, French banker and economist 1944 – Ray Martin, Australian television host and journalist 1945 – Peter Criss, American singer-songwriter, drummer, and producer 1945 – Sivakant Tiwari, Indian-Singaporean lawyer and author (d. 2010) 1946 – Uri Geller, Israeli-English magician and psychic 1946 – Dick Wolf, American director, producer, and screenwriter 1947 – Gigliola Cinquetti, Italian singer-songwriter 1948 – Alan Parsons, English keyboard player and producer 1948 – Mitsuko Uchida, Japanese pianist 1949 – Soumaïla Cissé, Malian engineer and politician 1950 – Arturo Márquez, Mexican-American composer 1951 – Nuala O'Loan, Baroness O'Loan, Northern Irish academic and police ombudsman 1951 – Marta Russell, American author and activist (d. 2013) 1952 – Jenny Agutter, English actress 1954 – Michael Badalucco, American actor 1954 – Sandra Cisneros, American author and poet 1955 – David Breashears, American mountaineer, director, and producer 1955 – Binali Yıldırım, Turkish lawyer and politician, Turkish Minister of Transport 1955 – Martin Schulz, German politician 1956 – Mohamed Ould Abdel Aziz, Mauritanian general and politician, President of Mauritania 1956 – Guy Babylon, American keyboard player and songwriter (d. 2009) 1956 – Blanche Baker, American actress and screenwriter 1956 – Junji Hirata, Japanese wrestler 1956 – Andrew Mackenzie, Scottish geologist and businessman 1956 – Anita Ward, American disco/R&B singer 1957 – Billy Bragg, English singer-songwriter and guitarist 1957 – Anna Vissi, Cypriot singer-songwriter and actress 1957 – Mike Watt, American singer-songwriter and bass player 1958 – Doug Nordquist, American high jumper 1958 – James Thomson, American biologist and academic 1959 – George Coupland, Scottish scientist 1959 – Hildegard Körner, German runner 1959 – Jackie Fox, American bass player 1959 – Kazimierz Marcinkiewicz, Polish physicist and politician, 12th Prime Minister of Poland 1959 – Trent Tucker, American basketball player and sportscaster 1960 – Nalo Hopkinson, Jamaican-Canadian author and educator 1960 – Kim Ki-duk, South Korean director, producer, and screenwriter 1961 – Mohammad Fouad, Egyptian singer-songwriter and actor 1961 – Mike Keneally, American singer-songwriter and guitarist 1961 – Freddie Spencer, American motorcycle racer 1964 – Mark Coleman, American mixed martial artist and wrestler 1965 – Rich Gannon, American football player and sportscaster 1966 – Matt Neal, English racing driver 1966 – Veronica Pershina, Russian-American figure skater and coach 1966 – Chris Robinson, American singer-songwriter and guitarist 1968 – Joe Cornish, English actor, director, and screenwriter 1968 – Karl Wendlinger, Austrian racing driver 1969 – Alain de Botton, Swiss-English philosopher and author 1969 – Zahra Ouaziz, Moroccan runner 1970 – Grant Flower, Zimbabwean cricketer and coach 1970 – Jörg Schmidt, German footballer 1972 – Anders Odden, Norwegian guitarist, songwriter, and producer 1972 – Anja Rücker, German sprinter 1973 – David Nedohin, Canadian curler and sportscaster 1974 – Die, Japanese guitarist, songwriter, and producer 1975 – Bartosz Bosacki, Polish footballer 1976 – Nenad Vučković, Croatian footballer 1978 – Andrei Markov, Russian-Canadian ice hockey player 1978 – Geremi Njitap, Cameroon footballer 1978 – Bouabdellah Tahri, French runner 1978 – Yoon Kye-sang, South Korean singer 1979 – Michael Rogers, Australian cyclist 1980 – Israel Castro, Mexican footballer 1980 – Ashley Cole, English footballer 1980 – Anthony da Silva, French-Portuguese footballer 1980 – Martín Demichelis, Argentinian footballer 1982 – Mohammad Asif, Pakistani cricketer 1982 – Kasper Klausen, Danish footballer 1983 – Jonah Hill, American actor, producer, and screenwriter 1990 – JoJo, American singer and actress 1991 – Rachael Boyle, Scottish footballer 1991 – Jillian Rose Reed, American actress 1991 – Fabian Schär, Swiss footballer 1991 – Jorginho, Brazilian footballer 1992 – Ksenia Makarova, Russian-American figure skater 1993 – Robeisy Ramírez, Cuban boxer 1997 – De'Aaron Fox, American basketball player 1997 – Suzuka Nakamoto, Japanese singer 2001 – Facundo Pellistri, Uruguayan footballer Deaths Pre-1600 217 – Zephyrinus, pope of the Catholic Church 910 – Alfonso III, king of Asturias 977 – Fujiwara no Kanemichi, Japanese statesman (b. 925) 1295 – Margaret of Provence, French queen (b. 1221) 1326 – Peter of Moscow, Russian metropolitan bishop 1340 – John I, duke of Bavaria (b. 1329) 1355 – Stefan Dušan, emperor of Serbia (b. 1308) 1539 – Johannes Lupi, Flemish composer (b. 1506) 1552 – Katharina von Bora, wife of Martin Luther (b. 1499) 1590 – Ambroise Paré, French physician and surgeon (b. 1510) 1601–1900 1658 – Jean Jannon, French designer and typefounder (b. 1580) 1722 – Kangxi, emperor of the Qing Dynasty (b. 1654) 1723 – Augustus Quirinus Rivinus, German physician and botanist (b. 1652) 1740 – Richard Boyle, 2nd Viscount Shannon, English field marshal and politician, Governor of Portsmouth (b. 1675) 1765 – Louis, dauphin of France (b. 1729) 1768 – Carlo Innocenzo Frugoni, Italian poet and academic (b. 1692) 1783 – Antonio Soler, Spanish priest and composer (b. 1729) 1812 – Sacagawea, American explorer (b. 1788) 1820 – John Bell, American farmer (b. 1750) 1856 – Francesco Bentivegna, Italian activist (b. 1820) 1862 – Robert Knox, Scottish surgeon and zoologist (b. 1791) 1880 – Gaspar Tochman, Polish-American colonel and lawyer (b. 1797) 1893 – George C. Magoun, American businessman (b. 1840) 1901–present 1915 – Upendrakishore Ray, Indian painter and composer (b. 1863) 1916 – Arthur Morgan, Australian politician, 16th Premier of Queensland (b. 1856) 1917 – Lucien Petit-Breton, French-Argentinian cyclist (b. 1882) 1919 – Philip Fysh, English-Australian politician, 12th Premier of Tasmania (b. 1835) 1920 – Linton Hope, English sailor and architect (b. 1863) 1921 – Julius Richard Petri, German microbiologist (b. 1852) 1927 – Frederick Semple, American golfer and tennis player (b. 1872) 1929 – Émile Loubet, French lawyer and politician, 8th President of France (b. 1838) 1935 – Martin O'Meara, Irish-Australian sergeant, Victoria Cross recipient (b. 1882) 1937 – Erich Ludendorff, German general (b. 1865) 1938 – Annie Armstrong, American missionary (b. 1850) 1938 – Matilda Howell, American archer (b. 1859) 1939 – Hans Langsdorff, German captain (b. 1894) 1941 – Igor Severyanin, Russian-Estonian poet and author (b. 1887) 1950 – Enrico Mizzi, Maltese lawyer and politician, 6th Prime Minister of Malta (b. 1885) 1954 – James Hilton, English-American author and screenwriter (b. 1900) 1956 – Ramón Carrillo, Argentinian neurologist and physician (b. 1906) 1959 – Juhan Simm, Estonian composer and conductor (b. 1885) 1961 – Moss Hart, American director and playwright (b. 1904) 1961 – Earle Page, Australian soldier and politician, 11th Prime Minister of Australia (b. 1880) 1968 – John Steinbeck, American novelist and short story writer, Nobel Prize laureate (b. 1902) 1971 – Roy O. Disney, American banker and businessman, co-founded The Walt Disney Company (b. 1893) 1972 – Adolfo Orsi, Italian businessman (b. 1888) 1973 – Luis Carrero Blanco, Spanish admiral and politician, 69th President of the Government of Spain (b. 1904; assassinated) 1973 – Bobby Darin, American singer-songwriter and actor (b. 1936) 1974 – Rajani Palme Dutt, English journalist and politician (b. 1896) 1974 – André Jolivet, French composer and conductor (b. 1905) 1976 – Richard J. Daley, American lawyer and politician, 48th Mayor of Chicago (b. 1902) 1981 – Dimitris Rontiris, Greek actor and director (b. 1899) 1982 – Arthur Rubinstein, Polish-American pianist and composer (b. 1887) 1984 – Stanley Milgram, American psychologist and academic (b. 1933) 1984 – Dmitry Ustinov, Minister of Defence of the Soviet Union (1976-84) (b. 1908) 1986 – Joe DeSa, American baseball player (b. 1959) 1991 – Simone Beck, French chef and author (b. 1904) 1991 – Sam Rabin, English wrestler, singer, and sculptor (b. 1903) 1991 – Albert Van Vlierberghe, Belgian cyclist (b. 1942) 1993 – W. Edwards Deming, American statistician, author, and academic (b. 1900) 1993 – Nazife Güran, Turkish composer and educator (b. 1921) 1994 – Dean Rusk, American lawyer, and politician, 54th United States Secretary of State (b. 1909) 1995 – Madge Sinclair, Jamaican-American actress (b. 1938) 1996 – Carl Sagan, American astronomer, astrophysicist, and cosmologist (b. 1934) 1997 – Denise Levertov, English-American poet and translator (b. 1923) 1997 – Dick Spooner, English cricketer (b. 1919) 1997 – Dawn Steel, American film producer (b. 1946) 1998 – Alan Lloyd Hodgkin, English physiologist and biophysicist, Nobel Prize laureate (b. 1916) 1999 – Riccardo Freda, Egyptian-Italian director and screenwriter (b. 1909) 1999 – Hank Snow, Canadian-American singer-songwriter and guitarist (b. 1914) 2001 – Léopold Sédar Senghor, Senegalese poet and politician, 1st President of Senegal (b. 1906) 2005 – Raoul Bott, Hungarian-American mathematician and academic (b. 1923) 2006 – Anne Rogers Clark, American dog breeder and trainer (b. 1929) 2008 – Adrian Mitchell, English author, poet, and playwright (b. 1932) 2008 – Robert Mulligan, American director and producer (b. 1925) 2008 – Igor Troubetzkoy, Russian aristocrat and racing driver (b. 1912) 2009 – Brittany Murphy, American actress and singer (b. 1977) 2009 – Arnold Stang, American actor (b. 1918) 2010 – James Robert Mann, American colonel, lawyer, and politician (b. 1920) 2010 – K. P. Ratnam, Sri Lankan academic and politician (b. 1914) 2011 – Barry Reckord, Jamaican playwright and screenwriter (b. 1926) 2012 – Stan Charlton, English footballer and manager (b. 1929) 2012 – Robert Juniper, Australian painter and sculptor (b. 1929) 2012 – Victor Merzhanov, Russian pianist and educator (b. 1919) 2013 – Pyotr Bolotnikov, Russian runner (b. 1930) 2014 – Per-Ingvar Brånemark, Swedish surgeon and academic (b. 1929) 2014 – John Freeman, English lawyer, politician, and diplomat, British Ambassador to the United States (b. 1915) 2020 – Fanny Waterman, British pianist (b. 1920) 2020 – Ezra Vogel, American sociologist (b. 1930) Holidays and observances Abolition of Slavery Day, also known as Fête des Cafres (Réunion, French Guiana) Bo Aung Kyaw Day (Myanmar) Christian feast day: Dominic of Silos O Clavis Ursicinus of Saint-Ursanne Katharina von Bora (Lutheran) December 20 (Eastern Orthodox liturgics) Earliest date for Winter solstice's eve (Northern Hemisphere), and its related observances: Yaldā (Iran) International Human Solidarity Day (International) Macau Special Administrative Region Establishment Day (Macau) References External links BBC: On This Day Historical Events on December 20 Today in Canadian History Days of the year December
8851
https://en.wikipedia.org/wiki/December%2014
December 14
Events Pre-1600 557 – Constantinople is severely damaged by an earthquake, which cracks the dome of Hagia Sophia. 835 – Sweet Dew Incident: Emperor Wenzong of the Tang dynasty conspires to kill the powerful eunuchs of the Tang court, but the plot is foiled. 1287 – St. Lucia's flood: The Zuiderzee sea wall in the Netherlands collapses, killing over 50,000 people. 1542 – Princess Mary Stuart becomes Queen of Scots at the age of one week on the death of her father, James V of Scotland. 1601–1900 1751 – The Theresian Military Academy is founded in Wiener Neustadt, Austria. 1780 – Founding Father Alexander Hamilton marries Elizabeth Schuyler Hamilton at the Schuyler Mansion in Albany, New York. 1782 – The Montgolfier brothers first test fly an unmanned hot air balloon in France; it floats nearly . 1812 – The French invasion of Russia comes to an end as the remnants of the Grande Armée are expelled from Russia. 1814 – War of 1812: The Royal Navy seizes control of Lake Borgne, Louisiana. 1819 – Alabama becomes the 22nd U.S. state. 1836 – The Toledo War unofficially ends as the "Frostbitten Convention" votes to accept Congress' terms for admitting Michigan as a U.S. state. 1863 – American Civil War: The Confederate victory under General James Longstreet at the Battle of Bean's Station in East Tennessee ends the Knoxville Campaign, but achieves very little as Longstreet returns to Virginia next spring. 1896 – The Glasgow Underground Railway is opened by the Glasgow District Subway Company. 1900 – Quantum mechanics: Max Planck presents a theoretical derivation of his black-body radiation law (quantum theory) at the Physic Society in Berlin. 1901–present 1902 – The Commercial Pacific Cable Company lays the first Pacific telegraph cable, from San Francisco to Honolulu. 1903 – The Wright brothers make their first attempt to fly with the Wright Flyer at Kitty Hawk, North Carolina. 1907 – The , the largest ever ship without a heat engine, runs aground and founders near the Hellweather's Reef within the Isles of Scilly in a gale. The pilot and 15 seamen die. 1909 – New South Wales Premier Charles Wade signs the Seat of Government Surrender Act 1909, formally completing the transfer of State land to the Commonwealth to create the Australian Capital Territory. 1911 – Roald Amundsen's team, comprising himself, Olav Bjaaland, Helmer Hanssen, Sverre Hassel, and Oscar Wisting, becomes the first to reach the South Pole. 1913 – , the fourth and last ship, launches, eventually becoming one of the Japanese workhorses during World War I and World War II. 1914 – Lisandro de la Torre and others found the Democratic Progressive Party (Partido Demócrata Progresista, PDP) at the Hotel Savoy, Buenos Aires, Argentina. 1918 – Friedrich Karl von Hessen, a German prince elected by the Parliament of Finland to become King Väinö I, renounces the Finnish throne. 1918 – Portuguese President Sidónio Pais is assassinated. 1918 – The 1918 United Kingdom general election occurs, the first where women were permitted to vote. 1939 – Winter War: The Soviet Union is expelled from the League of Nations for invading Finland. 1940 – Plutonium (specifically Pu-238) is first isolated at Berkeley, California. 1948 – Thomas T. Goldsmith Jr. and Estle Ray Mann are granted a patent for their cathode-ray tube amusement device, the earliest known interactive electronic game. 1955 – Albania, Austria, Bulgaria, Cambodia, Ceylon, Finland, Hungary, Ireland, Italy, Jordan, Laos, Libya, Nepal, Portugal, Romania and Spain join the United Nations through United Nations Security Council Resolution 109. 1958 – The 3rd Soviet Antarctic Expedition becomes the first to reach the southern pole of inaccessibility. 1960 – Convention against Discrimination in Education of UNESCO is adopted. 1962 – NASA's Mariner 2 becomes the first spacecraft to fly by Venus. 1963 – The dam containing the Baldwin Hills Reservoir bursts, killing five people and damaging hundreds of homes in Los Angeles, California. 1964 – American Civil Rights Movement: Heart of Atlanta Motel v. United States: The Supreme Court of the United States rules that Congress can use the Constitution's Commerce Clause to fight discrimination. 1971 – Bangladesh Liberation War: Over 200 of East Pakistans intellectuals are executed by the Pakistan Army and their local allies. (The date is commemorated in Bangladesh as Martyred Intellectuals Day.) 1972 – Apollo program: Eugene Cernan is the last person to walk on the moon, after he and Harrison Schmitt complete the third and final extravehicular activity (EVA) of the Apollo 17 mission. 1981 – Arab–Israeli conflict: Israel's Knesset ratifies the Golan Heights Law, extending Israeli law to the Golan Heights. 1985 – Wilma Mankiller takes office as the first woman elected to serve as Principal Chief of the Cherokee Nation. 1992 – War in Abkhazia: Siege of Tkvarcheli: A helicopter carrying evacuees from Tkvarcheli is shot down, resulting in at least 52 deaths, including 25 children. The incident catalyses more concerted Russian military intervention on behalf of Abkhazia. 1994 – Construction begins on the Three Gorges Dam on the Yangtze river. 1995 – Yugoslav Wars: The Dayton Agreement is signed in Paris by the leaders of the Federal Republic of Yugoslavia, Croatia, and Bosnia and Herzegovina. 1998 – Yugoslav Wars: The Yugoslav Army ambushes a group of Kosovo Liberation Army fighters attempting to smuggle weapons from Albania into Kosovo, killing 36. 1999 – Torrential rains cause flash floods in Vargas, Venezuela, resulting in tens of thousands of deaths, the destruction of thousands of homes, and the complete collapse of the state's infrastructure. 2003 – Pakistani President Pervez Musharraf narrowly escapes an assassination attempt. 2004 – The Millau Viaduct, the tallest bridge in the world, is formally inaugurated near Millau, France. 2012 – Sandy Hook Elementary School shooting: Twenty-eight people, including the gunman, are killed in Sandy Hook, Connecticut. 2013 – A reported coup attempt in South Sudan leads to continued fighting and hundreds of casualties. 2017 – The Walt Disney Company announces that it would acquire 21st Century Fox, including the 20th Century Fox movie studio, for $52.4 billion. 2020 – A total solar eclipse is visible from parts of the South Pacific Ocean, southern South America, and the South Atlantic Ocean. Births Pre-1600 1009 – Go-Suzaku, emperor of Japan (d. 1045) 1332 – Frederick III, German nobleman (d. 1381) 1546 – Tycho Brahe, Danish astronomer and chemist (d. 1601) 1599 – Charles Berkeley, 2nd Viscount Fitzhardinge, English politician (d. 1668) 1601–1900 1607 – János Kemény, Hungarian prince (d. 1662) 1625 – Barthélemy d'Herbelot, French orientalist and academic (d. 1695) 1631 – Anne Conway, English philosopher and author (d. 1679) 1640 – Aphra Behn, English playwright and author (d. 1689) 1678 – Daniel Neal, English historian and author (d. 1743) 1720 – Justus Möser, German jurist and theorist (d. 1794) 1730 – Capel Bond, English organist and composer (d. 1790) 1738 – Jan Antonín Koželuh, Czech composer and educator (d. 1814) 1775 – Philander Chase, American bishop and educator, founded Kenyon College (d. 1852) 1775 – Thomas Cochrane, 10th Earl of Dundonald, Scottish admiral and politician (d. 1860) 1777 – Du Pre Alexander, 2nd Earl of Caledon, Irish politician, Lord Lieutenant of Tyrone (d. 1839) 1784 – Princess Maria Antonia of Naples and Sicily (d. 1806) 1789 – Maria Szymanowska, Polish composer and pianist (d. 1831) 1791 – Charles Wolfe, Irish priest and poet (d. 1823) 1794 – Erastus Corning, American businessman and politician (d. 1872) 1816 – Abraham Hochmuth, Hungarian rabbi and educator (d. 1889) 1824 – Pierre Puvis de Chavannes, French painter and illustrator (d. 1898) 1832 – Daniel H. Reynolds, American general, lawyer, and politician (d. 1902) 1851 – Mary Tappan Wright, American novelist and short story writer (d. 1916) 1852 – Daniel De Leon, Curaçaoan-American journalist and politician (d. 1914) 1853 – Errico Malatesta, Italian anarchist and revolutionary socialist (d. 1932) 1856 – Louis Marshall, American lawyer and activist (d. 1929) 1866 – Roger Fry, English painter and critic (d. 1934) 1870 – Karl Renner, Austrian lawyer and politician, 4th President of Austria (d. 1950) 1881 – Katherine MacDonald, American actress and producer (d. 1956) 1883 – Manolis Kalomiris, Greek pianist and composer (d. 1962) 1883 – Morihei Ueshiba, Japanese martial artist, developed aikido (d. 1969) 1884 – Jane Cowl, American actress and playwright (d. 1950) 1887 – Xul Solar, Argentinian painter and sculptor (d. 1963) 1894 – Alexander Nelke, Estonian-American painter and carpenter (d. 1974) 1895 – George VI of the United Kingdom (d. 1952) 1895 – Paul Éluard, French poet and author (d. 1952) 1896 – Jimmy Doolittle, American general and pilot, Medal of Honor recipient (d. 1993) 1897 – Kurt Schuschnigg, Italian-Austrian lawyer and politician, 15th Federal Chancellor of Austria (d. 1977) 1897 – Margaret Chase Smith, American educator and politician (d. 1995) 1899 – DeFord Bailey, American Hall of Fame country and blues musician (d. 1982) 1901–present 1901 – Henri Cochet, French tennis player (d. 1987) 1901 – Paul of Greece (d. 1964) 1902 – Frances Bavier, American actress (d. 1989) 1902 – Herbert Feigl, Austrian philosopher from the Vienna Circle (d. 1988) 1903 – Walter Rangeley, English sprinter (d. 1982) 1904 – Virginia Coffey, American civil rights activist (d. 2003) 1908 – Morey Amsterdam, American actor, singer, and screenwriter (d. 1996) 1908 – Claude Davey, Welsh rugby player (d. 2001) 1908 – Mária Szepes, Hungarian journalist, author, and screenwriter (d. 2007) 1909 – Edward Lawrie Tatum, American geneticist and academic, Nobel Prize laureate (d. 1975) 1911 – Spike Jones, American singer and bandleader (d. 1965) 1911 – Hans von Ohain, German-American physicist and engineer (d. 1998) 1911 – Jerzy Iwanow-Szajnowicz, Greek-Polish swimmer and water polo player (d. 1943) 1914 – Karl Carstens, German lieutenant and politician, 5th President of the Federal Republic of Germany (d. 1992) 1914 – Rosalyn Tureck, American pianist and harpsichord player (d. 2003) 1915 – Dan Dailey, American dancer and actor (d. 1978) 1916 – Shirley Jackson, American novelist and short story writer (d. 1965) 1917 – C.-H. Hermansson, Swedish author and politician (d. 2016) 1917 – Elyse Knox, American actress and fashion designer (d. 2012) 1917 – June Taylor, American dancer and choreographer (d. 2004) 1918 – James T. Aubrey, American broadcaster (d. 1994) 1918 – Radu Beligan, Romanian actor and director (d. 2016) 1918 – B. K. S. Iyengar, Indian yoga instructor and author, founded Iyengar Yoga (d. 2014) 1920 – Clark Terry, American trumpet player, composer, and educator (d. 2015) 1922 – Nikolay Basov, Russian physicist and academic, Nobel Prize laureate (d. 2001) 1922 – Don Hewitt, American journalist and producer, created 60 Minutes (d. 2009) 1922 – Junior J. Spurrier, American sergeant, Medal of Honor recipient (d. 1984) 1923 – Gerard Reve, Dutch-Belgian author and poet (d. 2006) 1924 – Raj Kapoor, Indian actor, director, and producer (d. 1988) 1925 – Sam Jones, American baseball player (d. 1971) 1927 – Richard Cassilly, American tenor and actor (d. 1998) 1927 – Koos Rietkerk, Dutch lawyer and politician, Dutch Minister of the Interior (d. 1986) 1929 – Ron Jarden, New Zealand rugby player (d. 1977) 1930 – David R. Harris, English geographer, anthropologist, and archaeologist (d. 2013) 1930 – Margaret Bakkes, South African author (d. 2016) 1931 – Jon Elia, Pakistani philosopher, poet, and scholar (d. 2002) 1931 – Vladimir-Georg Karassev-Orgusaar, Estonian director and politician (d. 2015) 1932 – George Furth, American actor and playwright (d. 2008) 1932 – Abbe Lane, American actress, singer, and dancer 1932 – Charlie Rich, American singer-songwriter and guitarist (d. 1995) 1934 – Shyam Benegal, Indian director and screenwriter 1934 – Charlie Hodge, American guitarist and singer (d. 2006) 1935 – Lewis Arquette, American actor, producer, and screenwriter (d. 2001) 1935 – Lee Remick, American actress (d. 1991) 1938 – Leonardo Boff, Brazilian theologian and author 1938 – Charlie Griffith, Barbadian cricketer 1939 – Ann Cryer, English academic and politician 1939 – Ernie Davis, American football player (d. 1963) 1940 – Lex Gold, Scottish footballer and civil servant 1941 – Karan Armstrong, American soprano and actress (d. 2021) 1941 – Ellen Willis, American journalist, critic, and academic (d. 2006) 1942 – Chris Harris, English actor and director (d. 2014) 1942 – Dick Wagner, American singer-songwriter and guitarist (d. 2014) 1943 – Tommy McAvoy, Scottish politician 1943 – Emmett Tyrrell, American journalist, author, and publisher, founded The American Spectator 1944 – Graham Kirkham, Baron Kirkham, English businessman, founded DFS 1944 – Denis Thwaites, English professional footballer murdered in the 2015 Sousse attacks (d. 2015) 1946 – Antony Beevor, English historian and author 1946 – Jane Birkin, English-French actress and singer 1946 – John Du Prez, English conductor and composer 1946 – Patty Duke, American actress (d. 2016) 1946 – Ruth Fuchs, German javelin thrower and politician 1946 – Peter Lorimer, Scottish footballer (d. 2021) 1946 – Michael Ovitz, American talent agent, co-founded Creative Artists Agency 1946 – Stan Smith, American tennis player and coach 1946 – Joyce Vincent Wilson, American singer 1947 – Christopher Parkening, American guitarist and educator 1947 – Dilma Rousseff, Brazilian economist and politician, 36th President of Brazil 1948 – Lester Bangs, American journalist and author (d. 1982) 1948 – Kim Beazley, Australian politician and diplomat, 9th Deputy Prime Minister of Australia 1948 – Boudewijn Büch, Dutch author, poet, and television host (d. 2002) 1948 – Peeter Kreitzberg, Estonian lawyer and politician (d. 2011) 1949 – Bill Buckner, American baseball player and manager (d. 2019) 1949 – Cliff Williams, Australian bass player 1951 – Jan Timman, Dutch chess player and author 1952 – John Lurie, American actor, saxophonist, painter, director, and producer 1953 – Vijay Amritraj, Indian tennis player and sportscaster 1953 – Wade Davis, Canadian anthropologist, author, and photographer 1953 – René Eespere, Estonian composer 1953 – Vangelis Meimarakis, Greek lawyer and politician, 4th Greek Minister for National Defence 1953 – Mikael Odenberg, Swedish soldier and politician, 29th Swedish Minister for Defence 1954 – Alan Kulwicki, American race car driver (d. 1993) 1954 – Steve MacLean, Canadian physicist and astronaut 1955 – Jane Crafter, Australian golfer 1955 – Jill Pipher, American mathematician and academic 1956 – Linda Fabiani, Scottish politician 1956 – Hanni Wenzel, German skier 1958 – Mike Scott, Scottish singer-songwriter and guitarist 1958 – Spider Stacy, English singer-songwriter and guitarist 1959 – Bob Paris, American-Canadian bodybuilder and actor 1959 – Jorge Vaca, Mexican boxer 1960 – Don Franklin, American actor 1960 – Chris Waddle, English footballer, manager, and sportscaster 1960 – Diane Williams, American sprinter 1960 – James Comey, 7th Director of the Federal Bureau of Investigation 1961 – Jeff Robinson, American baseball player (d. 2014) 1961 – Patrik Sundström, Swedish ice hockey player 1963 – Greg Abbott, English footballer and manager 1963 – Diana Gansky, German discus thrower 1965 – Craig Biggio, American baseball player and coach 1965 – Ken Hill, American baseball player 1965 – Ted Raimi, American actor, director, and screenwriter 1966 – Fabrizio Giovanardi, Italian race car driver 1966 – Anthony Mason, American basketball player (d. 2015) 1966 – Helle Thorning-Schmidt, Danish academic and politician, 41st Prime Minister of Denmark 1966 – Bill Ranford, Canadian ice hockey player and coach 1966 – Tim Sköld, Swedish bass player and producer 1967 – Ewa Białołęcka, Polish author 1967 – Hanne Haugland, Norwegian high jumper and coach 1968 – Kelley Armstrong, Canadian author 1969 – Scott Hatteberg, American baseball player and sportscaster 1969 – Archie Kao, American actor and producer 1969 – Arthur Numan, Dutch footballer and manager 1969 – Natascha McElhone, English-Irish actress 1970 – Anna Maria Jopek, Polish singer-songwriter, pianist, and producer 1970 – Beth Orton, English singer-songwriter and guitarist 1971 – Michaela Watkins, American actor and comedian 1972 – Miranda Hart, English actress 1972 – Marcus Jensen, American baseball player and coach 1973 – Falk Balzer, German hurdler 1973 – Pat Burke, Irish basketball player 1973 – Tomasz Radzinski, Polish-Canadian footballer 1973 – Saulius Štombergas, Lithuanian basketball player and coach 1974 – Billy Koch, American baseball player 1975 – Justin Furstenfeld, American singer-songwriter, guitarist, and producer 1975 – Ben Kay, English rugby player 1976 – Tammy Blanchard, American actress and singer 1976 – Leland Chapman, American bounty hunter 1976 – Sebastien Chaule, French-German rugby player 1976 – André Couto, Portuguese race car driver 1976 – Santiago Ezquerro, Spanish footballer 1977 – Brendan Nash, Australian-Jamaican cricketer 1977 – Jamie Peacock, English rugby player and manager 1978 – Dean Brogan, Australian footballer and coach 1978 – Shedrack Kibet Korir, Kenyan runner 1978 – Zdeněk Pospěch, Czech footballer 1978 – Patty Schnyder, Swiss tennis player 1978 – Kim St-Pierre, Canadian ice hockey player 1979 – Jean-Alain Boumsong, French footballer 1979 – Andrei Makrov, Estonian ice hockey player 1979 – Sophie Monk, English-Australian singer-songwriter and actress 1979 – Michael Owen, English footballer and sportscaster 1979 – Rocc, Slovenian opera stage director and designer 1980 – Gordon Greer, Scottish footballer 1980 – Didier Zokora, Ivorian footballer 1980 – Thed Björk, Swedish race car driver 1981 – Rebecca Jarvis, American journalist 1981 – Johnny Jeter, American wrestler 1981 – Liam Lawrence, Irish footballer 1981 – Shaun Marcum, American baseball player 1982 – Josh Fields, American baseball player 1982 – Steve Sidwell, English footballer 1982 – Anthony Way, English singer and actor 1983 – Leanne Mitchell, English singer-songwriter 1984 – Chris Brunt, Northern Irish footballer 1984 – Rana Daggubati, Indian actor and producer 1984 – Ed Rainsford, Zimbabwean cricketer 1985 – Jakub Błaszczykowski, Polish footballer 1985 – Alex Pennie, Welsh keyboard player 1985 – Paul Rabil, American lacrosse player 1985 – Tom Smith, English-Welsh rugby player 1985 – Nonami Takizawa, Japanese actress and singer 1987 – Kenneth Medwood, Belizean-American hurdler 1988 – Nicolas Batum, French basketball player 1988 – Nate Ebner, American football player 1988 – Vanessa Hudgens, American actress and singer 1988 – Hayato Sakamoto, Japanese baseball player 1989 – Sam Burgess, English rugby league player 1989 – Pedro Roberto Silva Botelho, Brazilian footballer 1989 – Onew, South Korean singer-songwriter and dancer 1991 – Ben Henry, New Zealand rugby league player 1991 – Offset, American rapper 1992 – Tori Kelly, American singer-songwriter 1992 – Ryo Miyaichi, Japanese footballer 1993 – Antonio Giovinazzi, Italian race car driver 1995 – Calvyn Justus, South African swimmer 1996 – Li Zijun, Chinese figure skater Deaths Pre-1600 618 – Xue Rengao, emperor of Qin 648 – John III of the Sedre, Syriac Orthodox Patriarch of Antioch 704 – Aldfrith, king of Northumbria (or 705) 872 – Pope Adrian II (b. 792) 1077 – Agnes of Poitou, Holy Roman Empress and regent (b. c. 1025) 1293 – Al-Ashraf Khalil, Mamluk sultan of Egypt 1311 – Margaret of Brabant, German queen consort (b. 1276) 1332 – Rinchinbal Khan, Mongolian emperor (b. 1326) 1359 – Cangrande II della Scala, Lord of Verona (b. 1332) 1417 – John Oldcastle, English Lollard leader 1460 – Guarino da Verona, Italian scholar and translator (b. 1370) 1480 – Niccolò Perotti, humanist scholar (b. 1429) 1503 – Sten Sture the Elder, regent of Sweden (b. 1440) 1510 – Friedrich of Saxony (b. 1473) 1542 – James V of Scotland (b. 1512) 1591 – John of the Cross, Spanish priest and saint (b. 1542) 1595 – Henry Hastings, 3rd Earl of Huntingdon (b. 1535) 1601–1900 1624 – Charles Howard, 1st Earl of Nottingham, English politician, Lord High Admiral (b. 1536) 1651 – Pierre Dupuy, French historian and scholar (b. 1582) 1715 – Thomas Tenison, English archbishop (b. 1636) 1735 – Thomas Tanner, English bishop and historian (b. 1674) 1741 – Charles Rollin, French historian and educator (b. 1661) 1785 – Giovanni Battista Cipriani, Italian painter and engraver (b. 1727) 1788 – Carl Philipp Emanuel Bach, German pianist and composer (b. 1714) 1788 – Charles III of Spain (b. 1716) 1799 – George Washington, American general and politician, 1st President of the United States (b. 1732) 1831 – Martin Baum, American businessman and politician, 5th Mayor of Cincinnati (b. 1765) 1838 – Jean-Olivier Chénier, Canadian physician (b. 1806) 1842 – Ben Crack-O, king of several tribes around Cape Palmas 1860 – George Hamilton-Gordon, 4th Earl of Aberdeen, Scottish-English politician, Prime Minister of the United Kingdom (b. 1784) 1861 – Albert, Prince Consort of the United Kingdom (b. 1819) 1865 – Johan Georg Forchhammer, Danish geologist and mineralogist (b. 1794) 1873 – Louis Agassiz, Swiss-American zoologist and geologist (b. 1807) 1878 – Princess Alice of the United Kingdom (b. 1843) 1901–present 1912 – Belgrave Edward Sutton Ninnis, English lieutenant and explorer (b. 1887) 1917 – Phil Waller, Welsh rugby player (b. 1889) 1920 – George Gipp, American football player (b. 1895) 1927 – Julian Sochocki, Russian mathematician and academic (b. 1842) 1929 – Henry B. Jackson, British admiral (b. 1855) 1935 – Stanley G. Weinbaum, American author (b. 1902) 1937 – Fabián de la Rosa, Filipino painter and educator (b. 1869) 1940 – Anton Korošec, Slovenian priest and politician, 10th Prime Minister of Yugoslavia (b. 1872) 1943 – John Harvey Kellogg, American physician and businessman, co-invented corn flakes (b. 1852) 1944 – Lupe Vélez, Mexican actress (b. 1908) 1947 – Stanley Baldwin, English lieutenant and politician, Prime Minister of the United Kingdom (b. 1867) 1947 – Edward Higgins, English-American 3rd General of The Salvation Army (b. 1864) 1953 – Marjorie Kinnan Rawlings, American author and academic (b. 1896) 1956 – Juho Kusti Paasikivi, Finnish lawyer and politician, 7th President of Finland (b. 1870) 1963 – Dinah Washington, American singer and pianist (b. 1924) 1964 – William Bendix, American actor (b. 1906) 1970 – Franz Schlegelberger, German judge and politician, German Reich Minister of Justice (b. 1876) 1971 – Mufazzal Haider Chaudhury, Bangladeshi linguist and scholar (b. 1926) 1971 – Munier Choudhury, Bangladeshi author, playwright, and critic (b. 1925) 1971 – Shahidullah Kaiser, Bangladeshi journalist and author (b. 1927) 1974 – Walter Lippmann, American journalist and author (b. 1889) 1975 – Arthur Treacher, English-American entertainer (b. 1894) 1978 – Salvador de Madariaga, Spanish historian and diplomat, co-founded the College of Europe (b. 1886) 1980 – Elston Howard, American baseball player and coach (b. 1929) 1984 – Vicente Aleixandre, Spanish poet and academic, Nobel Prize laureate (b. 1898) 1985 – Catherine Doherty, Russian-Canadian activist, founded the Madonna House Apostolate (b. 1896) 1985 – Roger Maris, American baseball player and coach (b. 1934) 1989 – Jock Mahoney, American actor and stuntman (b. 1919) 1989 – Andrei Sakharov, Russian physicist and activist, Nobel Prize laureate (b. 1921) 1990 – Friedrich Dürrenmatt, Swiss author and playwright (b. 1921) 1990 – Paula Nenette Pepin, French composer, pianist and lyricist (b. 1908) 1991 – Robert Eddison, Japanese-English actor (b. 1908) 1993 – Jeff Alm, American football player (b. 1968) 1993 – Myrna Loy, American actress (b. 1905) 1994 – Orval Faubus, American soldier and politician, 36th Governor of Arkansas (b. 1910) 1995 – G. C. Edmondson, American soldier and author (b. 1922) 1996 – Gaston Miron, Canadian poet and author (b. 1928) 1997 – Stubby Kaye, American actor and comedian (b. 1918) 1997 – Emily Cheney Neville, American author (b. 1919) 1997 – Kurt Winter, Canadian guitarist and songwriter (b. 1946) 1998 – Norman Fell, American actor and comedian (b. 1924) 1998 – A. Leon Higginbotham Jr., American lawyer, judge, and activist (b. 1928) 1998 – Annette Strauss, American philanthropist and politician, Mayor of Dallas (b. 1924) 2001 – W. G. Sebald, German novelist, essayist, and poet (b. 1944) 2003 – Jeanne Crain, American actress (b. 1925) 2003 – Blas Ople, Filipino journalist and politician, 21st President of the Senate of the Philippines (b. 1927) 2003 – Frank Sheeran, American union leader and mobster (b. 1920) 2004 – Rod Kanehl, American baseball player (b. 1934) 2004 – Fernando Poe Jr., Filipino actor, director, producer, and politician (b. 1939) 2006 – Anton Balasingham, Sri Lankan-English strategist and negotiator (b. 1938) 2006 – Ahmet Ertegun, Turkish-American composer and producer, co-founded Atlantic Records (b. 1923) 2006 – Mike Evans, American actor and screenwriter (b. 1949) 2009 – Alan A'Court, English footballer and manager (b. 1934) 2010 – Timothy Davlin, American politician, Mayor of Springfield (b. 1957) 2010 – Neva Patterson, American actress (b. 1920) 2010 – Dale Roberts, English footballer (b. 1986) 2011 – Joe Simon, American author and illustrator (b. 1913) 2011 – Billie Jo Spears, American singer-songwriter (b. 1937) 2012 – John Graham, English general (b. 1923) 2012 – Edward Jones, American police officer and politician (b. 1950) 2012 – Victoria Leigh Soto, American educator (b. 1985) 2013 – Janet Dailey, American author (b. 1944) 2013 – C. N. Karunakaran, Indian painter and illustrator (b. 1940) 2013 – Dennis Lindley, English statistician and academic (b. 1923) 2013 – Peter O'Toole, British-Irish actor (b. 1932) 2013 – George Rodrigue, American painter (b. 1944) 2014 – Theo Colborn, American zoologist and academic (b. 1927) 2014 – Irene Dalis, American soprano and pianist (b. 1925) 2014 – Louis Alphonse Koyagialo, Congolese politician, Prime Minister of the Democratic Republic of the Congo (b. 1947) 2014 – Bess Myerson, American model, activist, game show panelist and television personality; Miss America 1945 (b. 1924) 2014 – Fred Thurston, American football player (b. 1933) 2015 – Terry Backer, American soldier and politician (b. 1954) 2015 – Glen Sonmor, Canadian ice hockey player and coach (b. 1929) 2015 – Vadym Tyshchenko, Ukrainian footballer and manager (b. 1963) 2015 – Lillian Vernon, German-American businesswoman and philanthropist, founded the Lillian Vernon Company (b. 1927) 2016 – Paulo Evaristo Arns, Brazilian cardinal (b. 1921) 2016 – Bernard Fox, Welsh actor (b. 1927) 2017 – Yu Kwang-chung, Chinese writer (b. 1928) 2019 – Chuy Bravo, Mexican-American comedian and actor (b. 1956) 2020 – Gérard Houllier, French Football manager (b. 1947) Holidays and observances Christian feast day: Folcwin John of the Cross John III of the Sedre (Syriac Orthodox Church) Matronian Nicasius of Rheims Nimatullah Kassab (Maronite Church) Spyridon (Western Church) Venantius Fortunatus December 14 (Eastern Orthodox liturgics) Alabama Day (Alabama) Forty-seven Ronin Remembrance Day (Sengaku-ji, Tokyo) Martyred Intellectuals Day (Bangladesh) Monkey Day References External links BBC: On This Day Historical Events on December 14 Today in Canadian History Days of the year December
8865
https://en.wikipedia.org/wiki/Defendant
Defendant
In court proceedings, a defendant is a person or object who is the party either accused of committing a crime in criminal prosecution or against whom some type of civil relief is being sought in a civil case. Terminology varies from one jurisdiction to another. In Scots law, the terms "accused" or "panel" are used instead in criminal proceedings and "defender" in civil proceedings. Another term in use is "respondent". Criminal defendants In a criminal trial, a defendant is a person accused (charged) of committing an offense (a crime; an act defined as punishable under criminal law). The other party to a criminal trial is usually a public prosecutor, but in some jurisdictions, private prosecutions are allowed. Criminal defendants are often taken into custody by police and brought before a court under an arrest warrant. Criminal defendants are usually obliged to post bail before being released from custody. For serious cases, such as murder, bail may be refused. Defendants must be present at every stage of the proceedings against them. (There is an exception for very minor cases such as traffic offenses in jurisdictions which treat them as crimes.) If more than one person is accused, the people may be referred as "co-defendant" or "co-conspirator" in British and common law courts. In some jurisdictions, vulnerable defendants may be able to get access of services of a non-registered intermediary to assist with communication at court. Civil defendants In a civil lawsuit, a defendant (or a respondent) is also the accused party, although not of an offense, but of a civil wrong (a tort or a breach of contract, for instance). The person who starts the civil action through filing a complaint is referred to as the plaintiff (also known as the appellant). Defendants in civil actions usually make their first court appearance voluntarily in response to a summons. Historically, civil defendants could be taken into custody under a writ of caspian ad respondent. Modern-day civil defendants are usually able to avoid most (if not all) court appearances if represented by a lawyer. Most often and familiarly, defendants are persons: either natural persons (actual human beings) or juridical persons (persona fiction) under the legal fiction of treating organizations as persons. But a defendant may be an object, in which case the object itself is the direct subject of the action. When a court has jurisdiction over an object, it is said to have jurisdiction in rem. An example of an in rem case is United States v. Forty Barrels and Twenty Kegs of Coca-Cola (1916), where the defendant was not the Coca-Cola Company itself, but rather "Forty Barrels and Twenty Kegs of Coca-Cola". In current United States legal practice, in rem suits are primarily asset forfeiture cases, based on drug laws, as in USA v. $124,700 (2006). Defendants can set up an account to pay for litigation costs and legal expenses. These legal defense funds can have large membership counts where members contribute to the fund. The fund can be public or private and is set up for individuals, organizations, or a particular purpose. These funds are often used by public officials, civil-rights organizations, and public-interest organizations. England and Wales Historically, "defendant" was a legal term for a person prosecuted for misdemeanour. It was not applicable to a person prosecuted for felony. See also Asset forfeiture Attribution (law) Criminal procedure Trial References Criminal law legal terminology
8879
https://en.wikipedia.org/wiki/Recreational%20use%20of%20dextromethorphan
Recreational use of dextromethorphan
Dextromethorphan, or DXM, a common active ingredient found in many over-the-counter cough suppressant cold medicines, is used as a recreational drug and entheogen for its dissociative effects. It has almost no psychoactive effects at medically recommended doses. However, dextromethorphan has powerful dissociative properties when administered in doses well above those considered therapeutic for cough suppression. Recreational use of DXM is sometimes referred to in slang form as "robo-tripping", whose prefix derives from the Robitussin brand name, or "Triple Cs", which derives from the Coricidin brand. (The pills were printed with "CCC" for "Coricidin Cough and Cold".) However, this brand presents a danger when used at recreational doses due to the presence of chlorpheniramine. In over-the-counter formulations, DXM is often combined with acetaminophen (paracetamol, APAP) to relieve pain and to prevent recreational use; however, to achieve DXM's dissociative effects, the maximum daily therapeutic dose of 4000 mg of APAP is often exceeded, potentially causing acute or chronic liver failure, making abuse and subsequent tolerance of products which contain both DXM and APAP potentially fatal. An online essay first published in 1995 entitled "The DXM FAQ" described dextromethorphan's potential for recreational use, and classified its effects into plateaus. Owing to its recreational use, many retailers in the US have moved dextromethorphan-containing products behind the counter so that one must ask a pharmacist to receive them or be 18 years (19 in New York and Alabama, 21 in Mississippi) or older to purchase them. Some retailers also give out printed recommendations about the potential for abuse with the purchase of products containing dextromethorphan. Classification At high doses, dextromethorphan is classified as a dissociative general anesthetic and hallucinogen, similar to the controlled substances ketamine and phencyclidine (PCP). Also like those drugs, dextromethorphan is an NMDA receptor antagonist. It generally does not produce withdrawal symptoms characteristic of physical dependence-inducing substances, but cases of both psychological dependence and physical dependence have been reported in the past, although physical dependence is usually seen in cases of heavy abuse. Due to dextromethorphan's selective serotonin reuptake inhibitor-like action, the sudden cessation of recreational dosing in tolerant individuals can result in mental and physical withdrawal symptoms similar to the withdrawal from SSRIs. These withdrawal effects can manifest as psychological effects, including depression, irritability, cravings, and as physical effects, including lethargy, body aches, and a sensation of unpleasant tingling, not unlike a mild "electric shock". Effects Dextromethorphan's effects have been divided into four plateaus. The first plateau (1.5 to 2.5 mg per kg body weight) is described as having euphoria, auditory changes, and change in perception of gravity. The second plateau (2.5 to 7.5 mg/kg) causes intense euphoria, vivid imagination, and closed-eye hallucinations. The third and fourth plateaus (7.5 mg/kg and over) cause profound alterations in consciousness, and users often report out-of-body experiences or temporary psychosis. Flanging (speeding up or slowing down) of sensory input is also a characteristic effect of recreational use. Also, a marked difference is seen between dextromethorphan hydrobromide, contained in most cough suppressant preparations, and dextromethorphan polistirex, contained in the brand name preparation Delsym. Polistirex is a polymer that is bonded to the dextromethorphan that requires more time for the stomach to digest it, as it requires that an ion exchange reaction take place prior to its dissolution into the blood. Because of this, dextromethorphan polistirex takes considerably longer to absorb, resulting in more gradual and longer lasting effects reminiscent of time-release pills. As a cough suppressant, the polistirex version lasts up to 12 hours. This duration also holds true when used recreationally. In 1981, a paper by Gosselin estimated that the lethal dose is between 50 and 500 mg/kg. Doses as high as 15–20 mg/kg are taken by some recreational users. A single case study suggests that the antidote to dextromethorphan overdose is naloxone, administered intravenously. In addition to producing PCP-like mental effects, high doses may cause a false-positive result for PCP and opiates in some drug tests. Risks associated with use Dextromethorphan has not been shown to cause vacuolization in animals, also known as Olney's lesions, despite early speculation that it might, due to similarities with ketamine. In rats, oral administration of dextromethorphan did not cause vacuolization in laboratory tests. Oral administration of dextromethorphan repeatedly during adolescence, however, has been shown to impair learning in those rats during adulthood. The occurrence of Olney's lesions in humans, however, has not been proven or disproven. William E. White, author of the "DXM FAQ", has compiled informal research from correspondence with dextromethorphan users suggesting that heavy abuse may result in various deficits corresponding to the brain areas affected by Olney's lesions; these include loss of episodic memory, decline in ability to learn, abnormalities in some aspects of visual processing, and deficits of abstract language comprehension. In 2004, however, White retracted the article in which he made these claims. A formal survey of dextromethorphan users showed that more than half of users reported experience of these withdrawal symptoms individually for the first week after long-term/addictive dextromethorphan use: fatigue, apathy, flashbacks, and constipation. Over a quarter reported insomnia, nightmares, anhedonia, impaired memory, attention deficit, and decreased libido. Rarer side effects included panic attacks, impaired learning, tremor, jaundice, urticaria (hives), and myalgia. Frequent and long-term usage at high doses could possibly lead to toxic psychosis and other permanent psychological problems. Medical DXM use has not been shown to cause the above issues. Misuse of multisymptom cold medications, rather than using a cough suppressant whose sole active ingredient is dextromethorphan, carries significant risk of fatality or serious illness. Multisymptom cold medicines contain other active ingredients, such as paracetamol (acetaminophen), chlorpheniramine, and phenylephrine, any of which can cause permanent bodily damage such as kidney failure, or even death, if taken on the generally accepted recreational dosing scale of dextromethorphan. Sorbitol, an artificial sweetener found in many cough syrups containing dextromethorphan, can also have negative side effects, including diarrhea and nausea when taken at recreational dosages of dextromethorphan. Guaifenesin, an expectorant commonly accompanying dextromethorphan in cough preparations, can cause unpleasant symptoms including vomiting, nausea, kidney stones, and headache. Combining dextromethorphan with other substances can compound risks. Central nervous system (CNS) stimulants such as amphetamine and/or cocaine can cause a dangerous rise in blood pressure and heart rate. CNS depressants such as ethanol (drinking alcohol) will have a combined depressant effect, which can cause a decreased respiratory rate. Combining dextromethorphan with other CYP2D6 substrates can cause both drugs to build to dangerous levels in the bloodstream. Combining dextromethorphan with other serotonergic drugs could possibly cause serotonin toxicity, an excess of serotonergic activity in the CNS and peripheral nervous system. Pharmacology Dextromethorphan is primarily a sigma receptor agonist and an SNRI, and dextromethorphan's effects as a dissociative hallucinogen may be attributed partially to dextrorphan (DXO), a metabolite produced when dextromethorphan is metabolized by the body. Both dextrorphan and dextromethorphan are NMDA receptor antagonists, alike other dissociative hallucinogens such as ketamine and PCP. Although dextrorphan is more potent than its "parent molecule" dextromethorphan, it likely works in combination with dextromethorphan to produce hallucinogenic effects due to only a small percentage of dextromethorphan being metabolized into dextrorphan. As NMDA receptor antagonists, dextrorphan and dextromethorphan inhibit the excitatory amino acid and neurotransmitter glutamate in the brain. This can effectively slow, or even shut down certain neural pathways, preventing areas of the brain from communicating with each other. This leaves the user feeling dissociated or disconnected, experienced as brain fog or derealization. Legality Antitussive preparations containing dextromethorphan are legal to purchase from pharmacies in most countries, with some exceptions being UAE, France, Sweden, Estonia, and Latvia. In Russia, dextromethorphan (commonly sold under the brand names Tussin+ and Glycodin) is a Schedule III controlled substance and is placed in the same list as benzodiazepines and the majority of barbiturates. United States No legal distinction currently exists in the United States between medical and recreational use, sale, or purchase. Some states and store chains have implemented restrictions, such as requiring signatures for DXM sale, limiting quantities allowable for purchase, and requiring that purchasers be over the age of majority in their state. The sale of dextromethorphan in its pure powder form may incur penalties, although no explicit law exists prohibiting its sale or possession, other than in Illinois. Cases of individuals being sentenced to time in prison and other penalties for selling pure dextromethorphan in this form have been reported, because of the incidental violation of more general laws for the sale of legitimate drugs – such as resale of a medication without proper warning labels. Dextromethorphan was excluded from the Controlled Substances Act (CSA) of 1970 and was specifically excluded from the Single Convention on Narcotic Drugs. As of 2010, it was still excluded from U.S. Schedules of Controlled Substances; however, officials have warned that it could still be added if increased abuse warrants its scheduling. The motivation behind its exclusion from the CSA was that under the CSA, all optical isomers of listed Schedule II opiates are automatically Schedule II substances. Since dextromethorphan is an optical isomer of the Schedule II opiate levomethorphan (but does not act like an opiate), an exemption was necessary to keep it an uncontrolled substance. The Federal Analog Act does not apply to dextromethorphan because a new drug application has been filed for it. Indonesia After previously being available over the counter, the National Agency of Drug and Food Control of Republic of Indonesia (BPOM-RI) now prohibits single-component dextromethorphan drug sales with or without prescription. Indonesia is the only country in the world that makes single-component dextromethorphan illegal even by prescription and violators may be prosecuted by law. Indonesian National Narcotic Bureau has even threatened to revoke pharmacies' and drug stores' licenses if they still stock dextromethorphan, and will notify the police for criminal prosecution. As a result of this regulation, 130 drugs have been withdrawn from the market, but drugs containing multicomponent dextromethorphan can be sold over the counter. In its official press release, the bureau also stated that dextromethorphan is often used as a substitute for marijuana, amphetamine, and heroin by drug abusers, and its use as an antitussive is less beneficial nowadays. The Director of Narcotics, Psychotropics, and Addictive Substances Control (NAPZA) BPOM-RI, Dr. Danardi Sosrosumihardjo, SpKJ, explains that dextromethorphan, morphine, and heroin are derived from the same tree, and states the effect of dextromethorphan to be equivalent to 1/100 of morphine and injected heroin. By contrast, the Deputy of Therapeutic Product and NAPZA Supervision BPOM-RI, Dra. Antonia Retno Tyas Utami, Apt. MEpid., states that dextromethorphan, being chemically similar to morphine, has a much more dangerous and direct effect to the central nervous system, thus causing mental breakdown in the user. She also claimed, without citing any prior scientific study or review, that unlike morphine users, dextromethorphan users cannot be rehabilitated. This claim is contradicted by numerous scientific studies which show that naloxone alone offers effective treatment and promising therapy results in treating dextromethorphan addiction and poisoning. Dra. Antonia Retno Tyas Utami also claimed high rates of dextromethorphan abuse - including fatalities - in Indonesia, and even more questionable, suggested that codeine, despite being a more physically addictive µ-opioid class antitussive, be made available as an alternative to dextromethorphan. See also Dissociative drug Nitrous oxide NMDA receptor antagonist Psychedelic drug Purple drank Sigma agonist References External links Dextroverse The Electric Cough-Syrup Acid Test by Jim Hogshire from Harper's Erowid Dextromethorphan Vault Stimulants Substance-related disorders
8900
https://en.wikipedia.org/wiki/Discrimination
Discrimination
Discrimination is the act of making unjustified distinctions between people based on the groups, classes, or other categories to which they belong or are perceived to belong. People may be discriminated on the basis of race, gender, age, religion, or sexual orientation, as well as other categories. Discrimination especially occurs when individuals or groups are unfairly treated in a way which is worse than other people are treated, on the basis of their actual or perceived membership in certain groups or social categories. It involves restricting members of one group from opportunities or privileges that are available to members of another group. Discriminatory traditions, policies, ideas, practices and laws exist in many countries and institutions in all parts of the world, including territories where discrimination is generally looked down upon. In some places, attempts such as quotas have been used to benefit those who are believed to be current or past victims of discrimination. These attempts have often been met with controversy, and have sometimes been called reverse discrimination. Etymology The term discriminate appeared in the early 17th century in the English language. It is from the Latin discriminat- 'distinguished between', from the verb discriminare, from discrimen 'distinction', from the verb discernere. Since the American Civil War the term "discrimination" generally evolved in American English usage as an understanding of prejudicial treatment of an individual based solely on their race, later generalized as membership in a certain socially undesirable group or social category. Before this sense of the word became almost universal, it was a synonym for discernment, tact and culture as in "taste and discrimination", generally a laudable attribute; to "discriminate against" being commonly disparaged. Definitions Moral philosophers have defined discrimination using a normative definition. Under this normative approach, discrimination is defined as wrongfully imposed disadvantageous treatment or consideration. This is also a comparative definition. An individual need not be actually harmed in order to be discriminated against. They just need to be treated worse than others for some arbitrary reason. If someone decides to donate to help orphan children, but decides to donate less, say, to Black children out of a racist attitude, then they would be acting in a discriminatory way despite the fact that the people they discriminate against actually benefit by receiving a donation. In addition to this discrimination develops into a source of oppression. It is similar to the action of recognizing someone as 'different' so much that they are treated inhumanly and degraded. This normative definition of discrimination is distinct to a descriptive definition - in the former, discrimination is wrong by definition, whereas in the latter, discrimination is only morally wrong in a given context. The United Nations stance on discrimination includes the statement: "Discriminatory behaviors take many forms, but they all involve some form of exclusion or rejection." International bodies United Nations Human Rights Council work towards helping ending discrimination around the world. Types of discrimination Age Ageism or age discrimination is discrimination and stereotyping based on the grounds of someone's age. It is a set of beliefs, norms, and values which used to justify discrimination or subordination based on a person's age. Ageism is most often directed toward elderly people, or adolescents and children. Age discrimination in hiring has been shown to exist in the United States. Joanna Lahey, professor at The Bush School of Government and Public Service at Texas A&M, found that firms are more than 40% more likely to interview a young adult job applicant than an older job applicant. In Europe, Stijn Baert, Jennifer Norga, Yannick Thuy and Marieke Van Hecke, researchers at Ghent University, measured comparable ratios in Belgium. They found that age discrimination is heterogeneous by the activity older candidates undertook during their additional post-educational years. In Belgium, they are only discriminated if they have more years of inactivity or irrelevant employment. In a survey for the University of Kent, England, 29% of respondents stated that they had suffered from age discrimination. This is a higher proportion than for gender or racial discrimination. Dominic Abrams, social psychology professor at the university, concluded that ageism is the most pervasive form of prejudice experienced in the UK population. Caste According to UNICEF and Human Rights Watch, caste discrimination affects an estimated 250 million people worldwide and is mainly prevalent in parts of Asia (India, Sri Lanka, Bangladesh, Pakistan, Nepal, Japan) and Africa. , there were 200 million Dalits or Scheduled Castes (formerly known as "untouchables") in India. Disability Discrimination against people with disabilities in favor of people who are not is called ableism or disablism. Disability discrimination, which treats non-disabled individuals as the standard of 'normal living', results in public and private places and services, educational settings, and social services that are built to serve 'standard' people, thereby excluding those with various disabilities. Studies have shown that disabled people not only need employment in order to be provided with the opportunity to earn a living but they also need employment in order to sustain their mental health and well-being. Work fulfils a number of basic needs for an individual such as collective purpose, social contact, status, and activity. A person with a disability is often found to be socially isolated and work is one way to reduce his or her isolation. In the United States, the Americans with Disabilities Act mandates the provision of equality of access to both buildings and services and is paralleled by similar acts in other countries, such as the Equality Act 2010 in the UK. Language Diversity of language is protected and respected by many nations which value cultural diversity. However, people are sometimes subjected to different treatment because their preferred language is associated with a particular group, class or category. Notable examples are the Anti-French sentiment in the United States as well as the Anti-Quebec sentiment in Canada targeting people who speak the French language. Commonly, the preferred language is just another attribute of separate ethnic groups. Discrimination exists if there is prejudicial treatment against a person or a group of people who either do or do not speak a particular language or languages. An example of this is when thousands of Wayúu Native Colombians were given derisive names and the same birth date, by government officials, during a campaign to provide them with identification cards. The issue was not discovered until many years later. Another noteworthy example of linguistic discrimination is the backdrop to the Bengali Language Movement in erstwhile Pakistan, a political campaign that played a key role in the creation of Bangladesh. In 1948, Mohammad Ali Jinnah declared Urdu as the national language of Pakistan and branded those supporting the use of Bengali, the most widely spoken language in the state, as enemies of the state. Language discrimination is suggested to be labeled linguicism or logocism. Anti-discriminatory and inclusive efforts to accommodate persons who speak different languages or cannot have fluency in the country's predominant or "official" language, is bilingualism such as official documents in two languages, and multiculturalism in more than two languages. Name Discrimination based on a person's name may also occur, with researchers suggesting that this form of discrimination is present based on a name's meaning, its pronunciation, its uniqueness, its gender affiliation, and its racial affiliation. Research has further shown that real world recruiters spend an average of just six seconds reviewing each résumé before making their initial "fit/no fit" screen-out decision and that a person's name is one of the six things they focus on most. France has made it illegal to view a person's name on a résumé when screening for the initial list of most qualified candidates. Great Britain, Germany, Sweden, and the Netherlands have also experimented with name-blind summary processes. Some apparent discrimination may be explained by other factors such as name frequency. The effects of name discrimination based on a name's fluency is subtle, small and subject to significantly changing norms. Nationality Discrimination on the basis of nationality is usually included in employment laws (see above section for employment discrimination specifically). It is sometimes referred to as bound together with racial discrimination although it can be separate. It may vary from laws that stop refusals of hiring based on nationality, asking questions regarding origin, to prohibitions of firing, forced retirement, compensation and pay, etc., based on nationality. Discrimination on the basis of nationality may show as a "level of acceptance" in a sport or work team regarding new team members and employees who differ from the nationality of the majority of team members. In the GCC states, in the workplace, preferential treatment is given to full citizens, even though many of them lack experience or motivation to do the job. State benefits are also generally available for citizens only. Westerners might also get paid more than other expatriates. Race or ethnicity Racial and ethnic discrimination differentiates individuals on the basis of real and perceived racial and ethnic differences and leads to various forms of the ethnic penalty. It can also refer to the belief that groups of humans possess different behavioral traits corresponding to physical appearance and can be divided based on the superiority of one race over another. It may also mean prejudice, discrimination, or antagonism directed against other people because they are of a different race or ethnicity. Modern variants of racism are often based in social perceptions of biological differences between peoples. These views can take the form of social actions, practices or beliefs, or political systems in which different races are ranked as inherently superior or inferior to each other, based on presumed shared inheritable traits, abilities, or qualities. It has been official government policy in several countries, such as South Africa during the apartheid era. Discriminatory policies towards ethnic minorities include the race-based discrimination against ethnic Indians and Chinese in Malaysia After the Vietnam War, many Vietnamese refugees moved to Australia and the United States, where they face discrimination. Region Regional or geographic discrimination is a form of discrimination that is based on the region in which a person lives or the region in which a person was born. It differs from national discrimination because it may not be based on national borders or the country in which the victim lives, instead, it is based on prejudices against a specific region of one or more countries. Examples include discrimination against Chinese people who were born in regions of the countryside that are far away from cities that are located within China, and discrimination against Americans who are from the southern or northern regions of the United States. It is often accompanied by discrimination that is based on accent, dialect, or cultural differences. Religious beliefs Religious discrimination is valuing or treating people or groups differently because of what they do or do not believe in or because of their feelings towards a given religion. For instance, the Jewish population of Germany, and indeed a large portion of Europe, was subjected to discrimination under Adolf Hitler and his Nazi party between 1933 and 1945. They were forced to live in ghettos, wear an identifying star of David on their clothes, and sent to concentration and death camps in rural Germany and Poland, where they were to be tortured and killed, all because of their Jewish religion. Many laws (most prominently the Nuremberg Laws of 1935) separated those of Jewish faith as supposedly inferior to the Christian population. Restrictions on the types of occupations that Jewish people could hold were imposed by Christian authorities. Local rulers and church officials closed many professions to religious Jews, pushing them into marginal roles that were considered socially inferior, such as tax and rent collecting and moneylending, occupations that were only tolerated as a "necessary evil". The number of Jews who were permitted to reside in different places was limited; they were concentrated in ghettos and banned from owning land. In Saudi Arabia, non-Muslims are not allowed to publicly practice their religions and they cannot enter Mecca and Medina. Furthermore, private non-Muslim religious gatherings might be raided by the religious police. In a 1979 consultation on the issue, the United States commission on civil rights defined religious discrimination in relation to the civil rights which are guaranteed by the Fourteenth Amendment. Whereas religious civil liberties, such as the right to hold or not to hold a religious belief, are essential for Freedom of Religion (in the United States as secured by the First Amendment), religious discrimination occurs when someone is denied "equal protection under the law, equality of status under the law, equal treatment in the administration of justice, and equality of opportunity and access to employment, education, housing, public services and facilities, and public accommodation because of their exercise of their right to religious freedom". Sex, sex characteristics, gender, and gender identity Sexism is a form of discrimination based on a person's sex or gender. It has been linked to stereotypes and gender roles, and may include the belief that one sex or gender is intrinsically superior to another. Extreme sexism may foster sexual harassment, rape, and other forms of sexual violence. Gender discrimination may encompass sexism, and is discrimination toward people based on their gender identity or their gender or sex differences. Gender discrimination is especially defined in terms of workplace inequality. It may arise from social or cultural customs and norms. Intersex persons experience discrimination due to innate, atypical sex characteristics. Multiple jurisdictions now protect individuals on grounds of intersex status or sex characteristics. South Africa was the first country to explicitly add intersex to legislation, as part of the attribute of 'sex'. Australia was the first country to add an independent attribute, of 'intersex status'. Malta was the first to adopt a broader framework of 'sex characteristics', through legislation that also ended modifications to the sex characteristics of minors undertaken for social and cultural reasons. Global efforts such as the United Nations Sustainable Development Goal 5 is also aimed at ending all forms of discrimination on the basis of gender and sex. Sexual orientation One's sexual orientation is a "predilection for homosexuality, heterosexuality, or bisexuality". Like most minority groups, homosexuals and bisexuals are vulnerable to prejudice and discrimination from the majority group. They may experience hatred from others because of their sexuality; a term for such hatred based upon one's sexual orientation is often called homophobia. Many continue to hold negative feelings towards those with non-heterosexual orientations and will discriminate against people who have them or are thought to have them. People of other uncommon sexual orientations also experience discrimination. One study found its sample of heterosexuals to be more prejudiced against asexual people than to homosexual or bisexual people. Employment discrimination based on sexual orientation varies by country. Revealing a lesbian sexual orientation (by means of mentioning an engagement in a rainbow organisation or by mentioning one's partner name) lowers employment opportunities in Cyprus and Greece but overall, it has no negative effect in Sweden and Belgium. In the latter country, even a positive effect of revealing a lesbian sexual orientation is found for women at their fertile ages. Besides these academic studies, in 2009, ILGA published a report based on research carried out by Daniel Ottosson at Södertörn University College, Stockholm, Sweden. This research found that of the 80 countries around the world that continue to consider homosexuality illegal, five carry the death penalty for homosexual activity, and two do in some regions of the country. In the report, this is described as "State sponsored homophobia". This happens in Islamic states, or in two cases regions under Islamic authority. On February 5, 2005, the IRIN issued a reported titled "Iraq: Male homosexuality still a taboo". The article stated, among other things that honor killings by Iraqis against a gay family member are common and given some legal protection. In August 2009, Human Rights Watch published an extensive report detailing torture of men accused of being gay in Iraq, including the blocking of men's anuses with glue and then giving the men laxatives. Although gay marriage has been legal in South Africa since 2006, same-sex unions are often condemned as "un-African". Research conducted in 2009 shows 86% of Black lesbians from the Western Cape live in fear of sexual assault. A number of countries, especially those in the Western world, have passed measures to alleviate discrimination against sexual minorities, including laws against anti-gay hate crimes and workplace discrimination. Some have also legalized same-sex marriage or civil unions in order to grant same-sex couples the same protections and benefits as opposite-sex couples. In 2011, the United Nations passed its first resolution recognizing LGBT rights. Reverse discrimination Reverse discrimination is discrimination against members of a dominant or majority group, in favor of members of a minority or historically disadvantaged group. Groups may be defined in terms of disability, ethnicity, family status, gender identity, nationality, race, religion, sex, and sexual orientation, or other factors. This discrimination may seek to redress social inequalities under which minority groups have had less access to privileges enjoyed by the majority group. In such cases it is intended to remove discrimination that minority groups may already face. Reverse discrimination can be defined as the unequal treatment of members of the majority groups resulting from preferential policies, as in college admissions or employment, intended to remedy earlier discrimination against minorities. Conceptualizing affirmative action as reverse discrimination became popular in the early- to mid-1970s, a time period that focused on under-representation and action policies intended to remedy the effects of past discrimination in both government and the business world. Anti-discrimination legislation Australia Racial Discrimination Act 1975 Sex Discrimination Act 1984 Disability Discrimination Act 1992 Age Discrimination Act 2004 Canada Ontario Human Rights Code 1962 Canadian Human Rights Act 1977 Hong Kong Sex Discrimination Ordinance (1996) Israel Prohibition of Discrimination in Products, Services and Entry into Places of Entertainment and Public Places Law, 2000 Employment (Equal Opportunities) Law, 1988 Netherlands Article 137c, part 1 of Wetboek van Strafrecht prohibits insults towards a group because of its race, religion, sexual orientation (straight or gay), handicap (somatically, mental or psychiatric) in public or by speech, by writing or by a picture. Maximum imprisonment one year of imprisonment or a fine of the third category. Part 2 increases the maximum imprisonment to two years and the maximum fine category to 4, when the crime is committed as a habit or is committed by two or more persons. Article 137d prohibits provoking to discrimination or hate against the group described above. Same penalties apply as in article 137c. Article 137e part 1 prohibits publishing a discriminatory statement, other than in formal message, or hands over an object (that contains discriminatory information) otherwise than on his request. Maximum imprisonment is 6 months or a fine of the third category. Part 2 increases the maximum imprisonment to one year and the maximum fine category to 4, when the crime is committed as a habit or committed by two or more persons. Article 137f prohibits supporting discriminatory activities by giving money or goods. Maximum imprisonment is 3 months or a fine of the second category. United Kingdom Equal Pay Act 1970 – provides for equal pay for comparable work. Sex Discrimination Act 1975 – makes discrimination against women or men, including discrimination on the grounds of marital status, illegal in the workplace. Human Rights Act 1998 – provides more scope for redressing all forms of discriminatory imbalances. Equality Act 2010 – consolidates, updates and supplements the prior Acts and Regulations that formed the basis of anti-discrimination law. United States Equal Pay Act of 1963 – (part of the Fair Labor Standards Act) – prohibits wage discrimination by employers and labor organizations based on sex. Civil Rights Act of 1964 – many provisions, including broadly prohibiting discrimination in the workplace including hiring, firing, workforce reduction, benefits, and sexually harassing conduct. Fair Housing Act of 1968 prohibited discrimination in the sale or rental of housing based on race, color, national origin, religion, sex, familial status, or disability. The Office of Fair Housing and Equal Opportunity is charged with administering and enforcing the Act. Pregnancy Discrimination Act of 1978, which amended Title VII of the Civil Rights Act of 1964 – covers discrimination based upon pregnancy in the workplace. Violence Against Women Act of 1994 Racism still occurs in a widespread manner in real estate. United Nations documents Important UN documents addressing discrimination include: The Universal Declaration of Human Rights is a declaration adopted by the United Nations General Assembly on December 10, 1948. It states that:" Everyone is entitled to all the rights and freedoms set forth in this Declaration, without distinction of any kind, such as race, colour, sex, language, religion, political or other opinion, national or social origin, property, birth or other status." The International Convention on the Elimination of All Forms of Racial Discrimination (ICERD) is a United Nations convention. The Convention commits its members to the elimination of racial discrimination. The convention was adopted and opened for signature by the United Nations General Assembly on December 21, 1965, and entered into force on January 4, 1969. The Convention on the Elimination of All Forms of Discrimination against Women (CEDAW) is an international treaty adopted in 1979 by the United Nations General Assembly. Described as an international bill of rights for women, it came into force on September 3, 1981. The Convention on the Rights of Persons with Disabilities is an international human rights instrument treaty of the United Nations. Parties to the convention are required to promote, protect, and ensure the full enjoyment of human rights by persons with disabilities and ensure that they enjoy full equality under the law. The text was adopted by the United Nations General Assembly on December 13, 2006, and opened for signature on March 30, 2007. Following ratification by the 20th party, it came into force on May 3, 2008. Theories and philosophy Social theories such as egalitarianism assert that social equality should prevail. In some societies, including most developed countries, each individual's civil rights include the right to be free from government sponsored social discrimination. Due to a belief in the capacity to perceive pain or suffering shared by all animals, abolitionist or vegan egalitarianism maintains that the interests of every individual (regardless of their species), warrant equal consideration with the interests of humans, and that not doing so is speciesist. Philosophers have debated as to how inclusive the definition of discrimination should be. Some philosophers have argued that discrimination should only refer to wrongful or disadvantageous treatment in the context of a socially salient group (such as race, gender, sexuality etc.) within a given context. Under this view, failure to limit the concept of discrimination would lead to it being overinclusive; for example, since most murders occur because of some perceived difference between the perpetrator and the victim, many murders would constitute discrimination if the social salience requirement is not included. Thus this view argues that making the definition of discrimination overinclusive renders it meaningless. Conversely, other philosophers argue that discrimination should simply refer to wrongful disadvantageous treatment regardless of the social salience of the group, arguing that limiting the concept only to socially salient groups is arbitrary, as well as raising issues of determining which groups would count as socially salient. The issue of which groups should count has caused many political and social debates. Based on realistic-conflict theory and social-identity theory, Rubin and Hewstone have highlighted a distinction among three types of discrimination: Realistic competition is driven by self-interest and is aimed at obtaining material resources (e.g., food, territory, customers) for the in-group (e.g., favoring an in-group in order to obtain more resources for its members, including the self). Social competition is driven by the need for self-esteem and is aimed at achieving a positive social status for the in-group relative to comparable out-groups (e.g., favoring an in-group in order to make it better than an out-group). Consensual discrimination is driven by the need for accuracy and reflects stable and legitimate intergroup status hierarchies (e.g., favoring a high-status in-group because it is high status). Labeling theory Discrimination, in labeling theory, takes form as mental categorization of minorities and the use of stereotype. This theory describes difference as deviance from the norm, which results in internal devaluation and social stigma that may be seen as discrimination. It is started by describing a "natural" social order. It is distinguished between the fundamental principle of fascism and social democracy. The Nazis in 1930s-era Germany and the pre-1990 Apartheid government of South Africa used racially discriminatory agendas for their political ends. This practice continues with some present day governments. Game theory Economist Yanis Varoufakis (2013) argues that "discrimination based on utterly arbitrary characteristics evolves quickly and systematically in the experimental laboratory", and that neither classical game theory nor neoclassical economics can explain this. Varoufakis and Shaun Hargreaves-Heap (2002) ran an experiment where volunteers played a computer-mediated, multiround hawk-dove game. At the start of each session, each participant was assigned a color at random, either red or blue. At each round, each player learned the color assigned to his or her opponent, but nothing else about the opponent. Hargreaves-Heap and Varoufakis found that the players' behavior within a session frequently developed a discriminatory convention, giving a Nash equilibrium where players of one color (the "advantaged" color) consistently played the aggressive "hawk" strategy against players of the other, "disadvantaged" color, who played the acquiescent "dove" strategy against the advantaged color. Players of both colors used a mixed strategy when playing against players assigned the same color as their own. The experimenters then added a cooperation option to the game, and found that disadvantaged players usually cooperated with each other, while advantaged players usually did not. They state that while the equilibria reached in the original hawk-dove game are predicted by evolutionary game theory, game theory does not explain the emergence of cooperation in the disadvantaged group. Citing earlier psychological work of Matthew Rabin, they hypothesize that a norm of differing entitlements emerges across the two groups, and that this norm could define a "fairness" equilibrium within the disadvantaged group. State vs. free market It is debated as to whether or not markets discourage discrimination brought about by the state. One argument is that since discrimination restricts access to customers and incurs additional expense, market logic will punish discrimination. Opposition by companies to "Jim Crow" segregation laws is an example of this. An alternative argument is that markets don't necessarily undermine discrimination, as it is argued that if discrimination is profitable by catering to the "tastes" of individuals (which is the point of the market), then the market will not punish discrimination. It is argued that micro economic analysis of discrimination uses unusual methods to determine its effects (using explicit treatment of production functions) and that the very existence of discrimination in employment (defined as wages which differ from marginal product of the discriminated employees) in the long run contradicts claims that the market will function well and punish discrimination. Furthermore, economic actors may have imperfect information and statistical discrimination may occur rationally and without prejudice. See also Ableism Adultism Affirmative action Afrophobia Ageism Allport's Scale Anti-Arabism Anti-Catholicism Anti-discrimination law Anti-intellectualism Anti-Mormonism Anti-Protestantism Antisemitism Antiziganism Apartheid Aporophobia Apostasy Apostasy in Islam Atlantic slave trade Bias Bumiputera (Malaysia) Caste Civil and political rights Classicide Colorism Cultural appropriation Cultural assimilation Cultural genocide Dehumanization Dignity Discrimination against asexual people Discrimination against atheists Discrimination against drug addicts Discrimination against members of the armed forces in the United Kingdom Discrimination against people with HIV/AIDS Discrimination of excellence Economic discrimination Employment discrimination Egalitarianism Equal opportunity Equal rights Ethnic cleansing Ethnic penalty Ethnocentrism Favoritism Genetic discrimination Genocide Hate crime Hate group Heightism Hispanophobia Homophobia Identicide Ingroups and outgroups Institutionalized discrimination Intersectionality Intersex human rights Islamophobia Jim Crow laws List of countries by discrimination and violence against minorities List of phobias Lookism Microaggression theory Nativism (politics) Oppression Persecution Politicide Paradox of tolerance Prejudice Racial segregation Racism Realistic conflict theory Religious intolerance Religious persecution Religious segregation Religious violence Replication crisis Reverse discrimination Second-class citizen Sexism Sizeism Slavery Social conflict State racism Statistical discrimination (economics) Stereotype Stigma management Structural violence Supremacism Taste-based discrimination Xenophobia References External links Topics.law.cornell.edu Legal definitions Australia Canada Russia US Discrimination Laws in Europe Behavioral Biology and Racism Abuse Aggression Anti-social behaviour Barriers to critical thinking Social inequality Social justice
8921
https://en.wikipedia.org/wiki/Diplomatic%20immunity
Diplomatic immunity
Diplomatic immunity is a form of legal immunity that ensures diplomats are given safe passage and are considered not susceptible to lawsuit or prosecution under the host country's laws, although they may still be expelled. Modern diplomatic immunity was codified as international law in the Vienna Convention on Diplomatic Relations (1961) which has been ratified by all but a handful of nations. The concept and custom of diplomatic immunity dates back thousands of years. Many principles of diplomatic immunity are now considered to be customary law. Diplomatic immunity was developed to allow for the maintenance of government relations, including during periods of difficulties and armed conflict. When receiving diplomats, who formally represent the sovereign, the receiving head of state grants certain privileges and immunities to ensure they may effectively carry out their duties, on the understanding that these are provided on a reciprocal basis. Originally, these privileges and immunities were granted on a bilateral, ad hoc basis, which led to misunderstandings and conflict, pressure on weaker states, and an inability for other states to judge which party was at fault. An international agreement known as the Vienna Convention codified the rules and agreements, providing standards and privileges to all states. It is possible for the official's home country to waive immunity; this tends to happen only when the individual has committed a serious crime, unconnected with their diplomatic role (as opposed to, for example, allegations of spying), or has witnessed such a crime. However, many countries refuse to waive immunity as a matter of course; individuals have no authority to waive their own immunity (except perhaps in cases of defection). Alternatively, the home country may prosecute the individual. For instance, in 2002, a Colombian diplomat in the United Kingdom was prosecuted for manslaughter once diplomatic immunity was waived by the Colombian government. History Ancient The concept of diplomatic immunity can be found in ancient Indian epics like Ramayana (between 3000 and 2000 BC) (traditional Hindu dating: over 100,000 years ago) and Mahabharata (around 4th century BC; traditional Hindu dating: 5000 BC), where messengers and diplomats were given immunity from capital punishment. In Ramayana, when the demon king Ravana ordered the killing of Hanuman, Ravana's younger brother Vibhishana pointed out that messengers or diplomats should not be killed, as per ancient practices. During the evolution of international justice, many wars were considered rebellions or unlawful by one or more combatant sides. In such cases, the servants of the "criminal" sovereign were often considered accomplices and their persons violated. In other circumstances, harbingers of inconsiderable demands were killed as a declaration of war. Herodotus records that when heralds of the Persian king Xerxes demanded "earth and water" (i.e., symbols of submission) of Greek cities, the Athenians threw them into a pit and the Spartans threw them down a well for the purpose of suggesting they would find both earth and water at the bottom, these often being mentioned by the messenger as a threat of siege. However, even for Herodotus, this maltreatment of envoys is a crime. He recounts a story of divine vengeance befalling Sparta for this deed. A Roman envoy was urinated on as he was leaving the city of Tarentum. The oath of the envoy, "This stain will be washed away with blood!", was fulfilled during the Pyrrhic War. The arrest and ill-treatment of the envoy of Raja Raja Chola by the king of Kulasekhara dynasty (Second Cheras), which is now part of modern India, led to the naval Kandalur War in AD 994. The Islamic prophet Muhammad sent and received envoys and strictly forbade harming them. This practice was continued by the Rashidun caliphs who exchanged diplomats with the Ethiopians and the Byzantines. This diplomatic exchange continued during the Arab–Byzantine wars. Classical Sharia called for hospitality to be shown towards anyone who has been granted amān (or right of safe passage). Amān was readily granted to any emissary bearing a letter or another sealed document. The duration of the amān was typically a year. Envoys with this right of passage were given immunity of person and property. They were exempt from taxation, as long as they didn't engage in trade. As diplomats by definition enter the country under safe conduct, violating them is normally viewed as a great breach of honor. Genghis Khan and the Mongols were well known for insisting on the rights of diplomats, and would often take terrifying vengeance against any state that violated these rights; at times razing entire cities in retaliation for the execution of their ambassadors. The Mongols invaded and destroyed the Khwarezmid Empire after their ambassadors were mistreated. Modern The British Parliament first guaranteed diplomatic immunity to foreign ambassadors under the Diplomatic Privileges Act in 1709, after Count Andrey Matveyev, a Russian resident in London, was subjected to verbal and physical abuse by British bailiffs. Modern diplomatic immunity evolved parallel to the development of modern diplomacy. In the 17th century, European diplomats realized that protection from prosecution was essential to doing their jobs, and a set of rules evolved guaranteeing the rights of diplomats. These were still confined to Western Europe and were closely tied to the prerogatives of nobility. Thus, an emissary to the Ottoman Empire could expect to be arrested and imprisoned upon the outbreak of hostilities between his state and the empire. The French Revolution also disrupted this system, as the revolutionary state and Napoleon imprisoned numerous diplomats who were accused of working against France. More recently, the Iran hostage crisis is universally considered a violation of diplomatic immunity. Although the hostage takers did not officially represent the state, host countries are obligated to protect diplomatic property and personnel. On the other hand, during World War II, diplomatic immunity was upheld and the embassies of the belligerents were evacuated through neutral countries. For the upper class of the 17th, 18th, and 19th centuries, diplomatic immunity was an easy concept to understand. The first embassies were not permanent establishments but actual visits by high-ranking representatives, often close relatives, of the sovereign or the sovereign in person. As permanent representations evolved, usually on a treaty basis between two powers, they were frequently staffed by relatives of the sovereign or high-ranking nobles. Warfare was a status of hostilities not between individuals but between their sovereigns, as well as the officers and officials of European governments, and armies often changed employers. Truces and ceasefires were commonplace, as was the fraternization between officers of opposing armies. If officers were taken prisoner, they usually gave their parole and were only restricted to a city away from the theatre of war. Almost always, they were given leave to carry their personal sidearms. Even during the French Revolutionary Wars, British scientists visited the French Academy. In such an atmosphere, it was easy to accept that some persons were immune to the laws. After all, they were still bound by strict requirements of honour and customs. In the 19th century, the Congress of Vienna reasserted the rights of diplomats; they have been largely respected since then, as the European model has spread throughout the world. Currently, diplomatic relations, including diplomatic immunity, are governed internationally by the Vienna Convention on Diplomatic Relations, which has been ratified by almost every country in the world. In modern times, diplomatic immunity continues to provide a means, albeit imperfect, to safeguard diplomatic personnel from any animosity that might arise between nations. As one article put it: "So why do we agree to a system in which we're dependent on a foreign country's whim before we can prosecute a criminal inside our own borders? The practical answer is: because we depend on other countries to honor our own diplomats' immunity just as scrupulously as we honor theirs." During 18 April 1961 Vienna Convention, the Holy See was granted diplomatic immunity to its foreign ambassadors as well. In the United States, the Diplomatic Relations Act of 1978 ( et seq.) follows the principles introduced by the Vienna Conventions. The United States tends to be generous when granting diplomatic immunity to visiting diplomats, because a large number of US diplomats work in host countries less protective of individual rights. If the United States were to punish a visiting diplomat without sufficient grounds, US representatives in other countries could receive harsher treatment. If a person with immunity is alleged to have committed a crime or faces a civil lawsuit, the State Department asks the home country to waive immunity of the alleged offender so that the complaint can be moved to the courts. If immunity is not waived, prosecution cannot be undertaken. However, the State Department still has the right to expel the diplomat. In many such cases, the diplomat's visas are revoked, and they and their family may be barred from returning to the United States. Crimes committed by members of a diplomat's family can also result in dismissal. Exceptions to the Vienna Convention Some countries have made reservations to the Vienna Convention on Diplomatic Relations, but they are minor. A number of countries limit the diplomatic immunity of persons who are citizens of the receiving country. As nations keep faith to their treaties with differing zeal, other rules may also apply, though in most cases this summary is a reasonably accurate approximation. The Convention does not cover the personnel of international organizations, whose privileges are decided upon on a case-by-case basis, usually in the treaties founding such organizations. UN organisations The United Nations system (including its agencies, which comprise the most recognizable international bodies such as the World Bank and many others) has a relatively standardized form of limited immunities for staff traveling on UN laissez-passer; diplomatic immunity is often granted to the highest-ranking officials of these agencies. Consular officials (that do not have concurrent diplomatic accreditation) formally have a more limited form of immunity, generally limited to their official duties. Diplomatic technical and administrative staff also have more limited immunity under the Vienna Convention; for this reason, some countries may accredit a member of technical or administrative staff as an attaché. Others Other categories of government officials that may travel frequently to other countries may not have diplomatic passports or diplomatic immunity, such as members of the military, high-ranking government officials, ministers, and others. For the US military, official passports can be used for work related travels only. Many countries provide non-diplomatic official passports to such personnel, and there may be different classes of such travel documents such as official passports, service passports, and others. De facto recognition of some form of immunity may be conveyed by states accepting officials traveling on such documents, or there may exist bilateral agreements to govern such cases (as in, for example, the case of military personnel conducting or observing exercises on the territory of the receiving country). Formally, diplomatic immunity may be limited to officials accredited to a host country, or traveling to or from their host country. In practice, many countries may effectively recognize diplomatic immunity for those traveling on diplomatic passports, with admittance to the country constituting acceptance of the diplomatic status. However, this is not universal, and diplomats have been prosecuted and jailed for crimes committed outside the country they are accredited to. As a result of their title, diplomats are exempt from being prosecuted by the state in open court when they are suspected to be guilty of a crime. Not only are these agents free from the criminal jurisdiction of the state, they are also immune from administrative and civil jurisdiction. This applies for most scenarios, however, there are some exceptions when the diplomatic immunity is subject to waiver. Any events that are associated with individual stationary property in the land of the given receiving State – with the exception of whether or not he is directed to do so for a plan. Any events with regards to a diplomat serving as another role from another State, including heir, inheritor of a will, executor, administrator. Any activity by a diplomat, in the receiving State, that is related to any professional or commercial operations beyond the scope of his directed responsibilities. Asadollah Asadi, an Iranian diplomat, was arrested while returning to his residence in Austria on a highway in Germany on June 10, 2018, accused of being involved in an attempted bombing at a gathering of the National Council of Resistance of Iran (a political organisation opposing the Iranian regime). While Assadi was entitled to diplomatic immunity where applicable, it was deemed that he was not protected when he was arrested as he was on holiday (in Germany) outside the country where he was posted and hence protected. Uses and abuses In reality, most diplomats are representatives of nations with a tradition of professional civil service; they are expected to obey regulations governing their behaviour and suffer severe disciplinary action if they flout local laws. In many nations, a professional diplomat's career may be compromised if they (or members of their family) disobey the local authorities or cause serious embarrassment, and such cases are, at any rate, a violation of the spirit of the Vienna Conventions. The Vienna Convention is explicit that "without prejudice to their privileges and immunities, it is the duty of all persons enjoying such privileges and immunities to respect the laws and regulations of the receiving State." Nevertheless, on some occasions, diplomatic immunity leads to some unfortunate results; protected diplomats have violated laws (including those that would be violations at home as well) of the host country and that country has been essentially limited to informing the diplomat's nation that the diplomat is no longer welcome (persona non-grata). Diplomatic agents are not, however, exempt from the jurisdiction of their home state, and hence prosecution may be undertaken by the sending state. For minor violations of the law, the sending state may impose administrative procedures specific to the foreign service or diplomatic mission. Violation of the law by diplomats has included espionage, smuggling, child custody law violations, money laundering, tax evasion, making terrorist threats, slavery, preying on children over the internet for sex, and murder. Offences against the person On-duty police officer Yvonne Fletcher was murdered in London in 1984, by a person shooting from inside the Libyan embassy during a protest. The incident caused a breakdown in diplomatic relations until Libya admitted "general responsibility" in 1999. The incident became a major factor in Prime Minister Margaret Thatcher's decision to allow President of the United States Ronald Reagan to launch the US bombing of Libya in 1986 from American bases in the United Kingdom. In 1987 in New York City, the Human Resources Administration placed 9-year-old Terrence Karamba in a foster home after his elementary school teachers noticed suspicious scars and injuries. He and his 7-year-old sister, who was also placed in City custody, told officials the wounds had been inflicted by their father, Floyd Karamba, an administrative attaché at the Zimbabwean Mission to the UN. No charges were filed, as Karamba had diplomatic immunity. In February 1999 in Vancouver, British Columbia, Canada, Kazuko Shimokoji, wife of the Japanese Consul-General, showed up at the emergency department of a city hospital with two black eyes and a bruised neck. She told doctors that her husband had beaten her. When local police questioned her husband, Mr. Shimokoji said, "Yes, I punched her out and she deserved it", and described the incident as "a cultural thing and not a big deal". Although an arrest warrant was issued, Mr. Shimokoji could not be arrested due to his diplomatic immunity. However, his statement to the police was widely reported in both the local and Japanese press. The subsequent public uproar prompted the Japanese Ministry of Foreign Affairs to waive Mr. Shimokoji's immunity. Though he pleaded guilty in Canadian court, he was given an absolute discharge. Nonetheless, he was recalled to Japan where he was reassigned to office duty and had his pay cut. In November 2006 in New York City, Fred Matwanga, Kenyan diplomat to the UN, was taken into police custody by officers responding to reports that he had assaulted his son; he was released after asserting diplomat immunity. In April 2012 in the Philippines, Erick Shcks Bairnals, a technical officer of the Panama Maritime Authority's regional office in Manila, was accused of raping a 19-year-old Filipino woman. Being an attached agency to the Panamanian Embassy in Manila, the AMP office was classified as a diplomatic entity, its officers possessing the same privileges conferred to the embassy's diplomats. Shcks was later released from detention because Shcks "enjoys protection under the 1961 Vienna Convention." In March 2013, the Supreme Court of India restricted Italian ambassador Daniele Mancini from leaving India for breaching an undertaking given to the apex court. Despite Italian and European Union protests regarding the restrictions as contrary to the Vienna Convention on Diplomatic Relations, the Supreme Court of India said it would be unacceptable to argue diplomatic immunity after voluntarily submitting to the court's jurisdiction. The Italian envoy had invoked Article 32 of the Constitution of India when filing an affidavit to the Supreme Court taking responsibility for the return of the two Italian marines to India after casting their votes in the March 2012 general elections in Italy. The Indian Supreme Court opined that the Italian ambassador had waived his diplomatic immunity and could be charged for contempt. The two marines were being tried in India for the murder of two Indian fishermen off the coast of Kerala (see the Enrica Lexie case). In October 2013, Russian diplomat Dmitri Borodin was arrested in The Hague, The Netherlands, after neighbours called the police. Borodin was alleged to have been drunk and violent towards his children, aged two and four. Police were in the area because Borodin's wife had lost control over her car while also intoxicated, and had rammed four parked cars near the diplomats' house. Russia immediately demanded an apology from the Dutch government for violating Borodin's diplomatic immunity. The row came at a time of tension between Russia and the Netherlands, after the Russian security services captured a Greenpeace vessel sailing under the Dutch flag, Arctic Sunrise, that was protesting against oil drilling in the Prirazlomnoye field. In June 2014, the New Zealand government confirmed that Mohammed Rizalman Bin Ismail from Malaysia, aged in his 30s and employed at Malaysia's High Commission in Wellington, had invoked diplomatic immunity when faced with charges of burglary and assault with intent to rape after allegedly following a 21-year-old woman to her home. He returned to Malaysia in May 2014 with his family while the case was still in hearing. The New Zealand foreign ministry was criticized for allowing the defendant to leave the country, which was blamed on miscommunication between the foreign ministries of the two countries, as Prime Minister John Key expressed his view that "the man should have faced the charges in New Zealand". Malaysia eventually agreed to send the diplomat back to assist in investigations and he was eventually tried and sentenced to nine months' home detention in New Zealand. In July 2017, in Jordan, two Jordanian carpenters were invited to repair furniture at an Israeli diplomatic security agent's residence near the Israeli Embassy. It is believed that the Jordanians and Israeli security agent quarreled over the ongoing tensions regarding the installations of metal detectors at entry points to al-Aqsa mosque in Jerusalem. One carpenter, a teenager of Palestinian origin reportedly tried to stab the Israeli security agent with his screwdriver, and the Israeli security agent shot and killed the Jordanian carpenter, and also shot the property landlord as well, a doctor, who happened to be there at the time. Israel refused to allow Jordanian authorities to question the agent, claiming diplomatic immunity under the Vienna convention. In August 2017, Zimbabwe first lady, Grace Mugabe, invoked diplomatic immunity on 15 August after assault charges were laid against her by a South African model. Theft In April 2021, two Pakistani diplomats in South Korea were caught shoplifting in Seoul. The Pakistani diplomats were caught stealing $1.70 chocolates and a $10 hat. The case was closed owing to their diplomatic immunity. Smuggling Diplomats and officials involved in drug smuggling have benefited from diplomatic immunity. For example, a Venezuelan general wanted in the United States on drugs charges was arrested in Aruba only to be released after the Venezuelan government protested his diplomatic immunity and threatened sanctions if Aruba did not release him. In December 2014, Gambian diplomats were found guilty by Southwark Crown Court of London for selling tax-free tobacco from the Gambian embassy in the United Kingdom. The Crown Prosecution Service told the court that much of this was sold from the embassy without paying value-added tax and excise duty. Employer abuse and slavery Diplomatic immunity from local employment and labor law has precipitated incidents in which diplomatic staff have been accused of abusing local workers, who are often hired for positions requiring local knowledge (such as an administrative assistant, press/PR officer) or for general labor. In such situations, the employees are in a legal limbo where the laws of neither the host country nor the diplomat's country are enforceable. Diplomats have ignored local laws concerning minimum wages, maximum working hours, vacation and holidays, and in some cases have imprisoned employees in their homes, deprived them of their earned wages, passports, food, and communication with the outside world, abused them physically and emotionally, and invaded their privacy. Reported incidents include the following: In 1999, a Bangladeshi woman, Shamela Begum, claimed she had been enslaved by a senior Bahraini envoy to the United Nations and his wife. Begum charged that the couple took her passport, struck her, and paid her just $800 for ten months of service—during which she was only twice allowed out of the couple's New York apartment. The envoy and his wife claimed diplomatic immunity, and Begum later reached a civil settlement with her employers. By some estimates, "hundreds of women have been exploited by their diplomat employers over the past 20 years." In 2003 in Finland, a Filipina maid escaped from an embassy of an unidentified Asian country, and reported being held in conditions approaching slavery: she was forced to work from 7 a.m. to 10 p.m., 7 days a week, and the ambassador's children were permitted to hit her. On grounds of diplomatic immunity, no charges could be filed. In 2009, South Africa was criticised for claiming immunity from labor laws relating to a Ukrainian domestic worker at the residence of the South African ambassador in Ireland. In 2010, the American Civil Liberties Union filed an amicus brief in Swarna v. Al-Awadi to argue that human trafficking is a commercial activity engaged in for personal profit, which falls outside the scope of a diplomat's official functions, and therefore diplomatic immunity does not apply. An appeals court ruled that Al-Awadi did not have diplomatic immunity in that situation. In 2013, Indian consular official Devyani Khobragade was detained, hand-cuffed, strip searched, DNA swabbed, and held in a federal holding cell in New York, relating to allegations of non-payment of US minimum wage and for fraudulently lying about the wages to be paid on a visa application for her domestic worker. India registered a strong protest and initiated a review of privileges afforded to American consular officials in India as a result. In 2015, two Nepalese women were rescued from the fifth floor of the Gurgaon residence of a Saudi Arabian diplomat in India. They were allegedly confined there and abused physically and sexually by the diplomat and his family and friends. The women were rescued in a police raid planned after the police received a letter from the Nepal embassy regarding their plight. Several persons, the Saudi diplomat among them, were booked for wrongful confinement and gang rape. Saudi Ambassador Saud Mohammed Alsati commented, "This is completely false. We would not like to comment any further since the case is under investigation by the Indian police." Ten days after the diplomat was accused, it was confirmed that he had left India. Vehicular offences Parking violations A particular problem is the difficulty in enforcing ordinary laws, such as prohibitions on double parking. For example, the Autobahn 555 in Cologne, Germany was nicknamed the "Diplomatenrennbahn" (Diplomat's Raceway), when Bonn was the capital of West Germany, because of the numerous diplomats that used to speed through the highway under diplomatic immunity. Certain cities, for example The Hague, have taken to impounding such cars rather than fining their owners. Diplomats' status does not guarantee the release of impounded cars. Diplomats' cars may not be searched or entered in the US. Diplomatic missions have their own regulations, but many require their staff to pay any fines due for parking violations. A 2006 economic study found that there was a significant correlation between home-country corruption (as measured by Transparency International) and unpaid parking fines: six countries had in excess of 100 violations per diplomat: Kuwait, Egypt, Chad, Sudan, Bulgaria and Mozambique. In particular, New York City, the home of the United Nations Headquarters, regularly protests to the United States Department of State about non-payment of parking tickets because of diplomatic status. As of 2001, the city had more than 200,000 outstanding parking tickets from diplomats, totaling more than $21.3 million, of which only $160,682 had been collected. In 1997, then-mayor Rudy Giuliani proposed to the Clinton administration that the US State Department revoke the special DPL plates for diplomats who ignore parking summonses; the State Department denied Giuliani's request. In cities that impose a congestion charge, the decision of some diplomatic missions not to furnish payment has proved controversial. In London, embassies have amassed approximately £58 million in unpaid charges as of 2012, with the American embassy comprising approximately £6 million and the Russian, German and Japanese missions around £2 million each. Vehicular assault and drunk driving Georgian driver in the United States In January 1997, Gueorgui Makharadze, a high-ranking Georgian diplomat, caused a five-car pileup in Washington, D.C., in the United States, which killed a 16-year-old girl. Makharadze's claim of diplomatic immunity created a national outrage in the United States, particularly given Makharadze's previous record of driving offenses: In April 1996, Makharadze had been charged with speeding in Virginia, and four months later, he was detained by District of Columbia police on suspicion of drunk driving. In both prior cases, charges were dismissed based on his immunity. On the basis of the media coverage, Georgia revoked Makharadze's immunity, and he was ultimately sentenced to seven years in prison after pleading guilty to one count of involuntary manslaughter and four counts of aggravated assault. American driver in Russia On 27 October 1998, in Vladivostok, Russia, Douglas Kent, the American Consul General to Russia, was involved in a car accident that left a young man, Alexander Kashin, disabled. Kent was not prosecuted in a US court. Under the Vienna Convention, diplomatic immunity does not apply to civil actions relating to vehicular accidents, but in 2006, the US Court of Appeals ruled that, since he was using his vehicle for consular purposes, Kent could not be sued civilly. Russian driver in Canada In 2001, a Russian diplomat, Andrei Knyazev, hit and killed a woman while driving drunk in Ottawa. Knyazev refused to take a breathalyzer at the scene of the crash, citing diplomatic immunity. Russia refused Canadian requests to waive his immunity, and Knyazev was expelled from Canada. Though the Russian Foreign Ministry fired him and charged him with involuntary manslaughter, and Russian and Canadian authorities cooperated in the investigation, the case caused a political storm in Canada. Many accused the Foreign Ministry of incompetence after it emerged that Knyazev had twice been previously investigated for drunk driving. The Canadian Foreign Minister had fought unsuccessfully to have Knyazev tried in Ottawa. In 2002, Knyazev was found guilty of involuntary manslaughter in Russia. American driver in Romania On 3 December 2004, in Bucharest, Romania, Christopher Van Goethem, an American Marine serving his embassy, ran a red traffic signal, collided with a taxi, and killed popular Romanian musician Teo Peter. The Romanian government requested the American government to lift his immunity, which it refused to do. In a court-martial, he was acquitted of manslaughter and adultery (which is still a court martial offence) but was convicted of obstruction of justice and making false statements. Canadian driver in Tanzania On 9 December 2009, in Tanzania, Canadian Junior Envoy Jean Touchette was arrested after it was reported that he spat at a traffic police officer on duty in the middle of a traffic jam in the Banana district on the outskirts of Dar es Salaam. Canada's High Commissioner, Robert Orr, was summoned by the Tanzanian Foreign Ministry over the incident, and the junior envoy was later recalled. Romanian driver in Singapore On 15 December 2009, in Singapore, the Romanian chargé d'affaires, Silviu Ionescu, was allegedly behind a drunk-driving hit-and-run accident that killed a 30-year-old man and seriously injured two others. He left Singapore for Romania three days after the accident. The Romanian foreign ministry suspended Ionescu from his post. A coroner's inquiry in Singapore, which included testimony by the Romanian embassy driver, concluded that Ionescu was solely responsible for the accident. An Interpol Red Notice was subsequently issued for his arrest and possible extradition notwithstanding the fact that Romania had not waived his diplomatic immunity and had commenced criminal proceedings against him in Romania. The Singapore government argued that by reason of Article 39(2) of the Vienna Convention, Ionescu was no longer protected by diplomatic immunity. Ionescu was eventually sentenced to six years in jail. American driver in Pakistan In January 2011 in Lahore, Pakistan, American embassy employee Raymond Allen Davis shot and killed two Pakistani civilians, while a third man was struck and killed by a US consulate car responding to the shooting. According to Davis, they were about to rob him and he acted in self-defense. When detained by police, Davis claimed to be a consultant at the US consulate in Lahore. He was formally arrested and remanded into custody. Further investigations revealed that he was working with the CIA as a contractor in Pakistan. The US State Department declared him a diplomat and repeatedly requested immunity under the Vienna Convention on Diplomatic Relations, to which Pakistan is a signatory. On 16 March 2011, Davis was released after the families of the two killed men were paid $2.4 million in diyya (a form of monetary compensation or blood money). Judges then acquitted him on all charges and Davis immediately departed Pakistan. United Nations driver in Pakistan On 10 April 2011, in Islamabad, Pakistan, Patrick Kibuta, an electrical engineer in the United Nations Military Observer Group in India and Pakistan caused a vehicle collision with another vehicle, while under the influence of alcohol. Kibuta, who was driving in the opposing lane, injured a Canadian citizen residing in Islamabad, who suffered multiple fractures and required surgery. The Kohsar police impounded Kibuta's UN vehicle on the scene, and a blood test confirmed that he had an elevated blood alcohol level. Charges for reckless and drunken driving were filed against Kibuta, who enjoyed diplomatic immunity. American driver in Pakistan On 14 February 2013, a vehicle bearing diplomatic plates registered to the US Embassy got into an accident in Islamabad, Pakistan involving two residents out of which one was killed and the other survived. Murder charges were laid under Section 320 of Pakistan Penal Code against the driver of the vehicle who is a diplomat according to Pakistani officials. American driver in Kenya In July 2013, Joshua Walde, an American diplomat in Nairobi, Kenya, crashed into a mini-bus, killing one man and seriously injuring eight others, who were left with no financial assistance to pay for hospital bills. United States embassy officials took the diplomat and his family out of Kenya the following day. The United States government was concerned about the impact the accident could have on bilateral relations with Kenya. Walde gave a statement to police, but was not detained due to his diplomatic immunity. Kenyan police say the case remains under investigation. Lebanese driver in South Korea In September 2013, Jad Saeed al-Hassan, Lebanese Ambassador to South Korea, was involved in a hit-and-run in Seoul. Right after the accident, he drove directly into the Lebanese embassy compound and refused to cooperate with the local police investigation, claiming his diplomatic immunity. He stayed in his post as ambassador until his death due to another traffic collision in Seoul in 2014. Qatari driver in the United States On 12 September 2015, Sheikh Khalid bin Hamad Al Thani tried to claim diplomatic immunity when his Ferrari LaFerrari and a Porsche 911 GT3 were caught on camera drag racing through a residential neighborhood in Beverly Hills. He owns the cars and a drag racing team, and is a member of Qatar's ruling family. The Beverly Hills Police Department contacted the US State Department to clarify if he had diplomatic immunity. They stated he did not. However, his face was not shown on camera, and no officer witnessed the crime, so the state of California has not yet pressed charges. He has since fled the country. The investigation is ongoing. Saudi driver in Germany In June 2017, in Germany a Saudi driver killed a cyclist by opening the door of his Porsche directly into the cyclist's path without checking to see if the road was clear. Anger arose when the Saudi claimed diplomatic immunity. Police said that under normal circumstances the driver would face investigation and possible prosecution on suspicion of negligent manslaughter, but prosecutors said they had no choice but to close the case because he had diplomatic immunity. American driver in the United Kingdom On 27 August 2019, Anne Sacoolas, the wife of an American government employee working in the United Kingdom was a suspect in a traffic incident involving 19-year-old Harry Dunn in Croughton, Northamptonshire, England. Dunn was riding his motorcycle when it was reported that a woman emerged from RAF Croughton driving on the wrong side of the road, resulting in a head-on collision. After 999 handlers wrongly categorized the call, there was a 43-minute wait for an ambulance, resulting in a two-hour delay arriving at a trauma center, where Harry Dunn later died. Sacoolas was breathalyzed at the accident site. The following day, police interviewed Sacoolas at her home, learning the US claimed diplomatic immunity. Sacoolas told police she had no immediate plans to leave the country. However, on 13 October US authorities notified the UK's Foreign and Commonwealth Office of plans to send Sacoolas home, unless serious objections were raised: on 16 October, the UK's Foreign Secretary, Dominic Raab, went to present objections, a day after the family was sent back. Woody Johnson, US Ambassador to the UK, expressed "profound sadness" at the death of Harry Dunn and the US Embassy also offered their sympathies and condolences. US President Donald Trump called it a "terrible accident" and mentioned that the woman was "driving on the wrong side of the road, and that can happen". The US government has not waived the diplomatic immunity afforded to Sacoolas and has stated she would not return to the UK, despite calls by the UK government to do so. However, as of December 2021 Sacoolas is scheduled to appear in UK court via video link charged with causing the death of Mr Dunn by dangerous driving. The hearing will take place in Westminster Magistrates Court on the 18th January 2022. Financial abuse Historically, the problem of large debts run up by diplomats has also caused many problems. Some financial institutions do not extend credit to diplomats because they have no legal means of ensuring the money be repaid. Local citizens and businesses are often at a disadvantage when filing civil claims against a diplomat, especially in cases of unpaid rent, alimony, and child support. Rents The bulk of diplomatic debt lies in the rental of office space and living quarters. Individual debts can range from a few thousand dollars to $1 million in back rent. A group of diplomats and the office space in which they work are referred to as a diplomatic mission. Creditors cannot sue missions individually to collect money they owe. Landlords and creditors have found that the only thing they can do is contact a city agency to see if they can try to get some money back. They cannot enter the offices or apartments of diplomats to evict them because the Foreign Sovereign Immunities Act says that "the property in the United States of a foreign state shall be immune from attachment, arrest and execution" (). This has led creditors who are owed money by diplomats to become more cautious about their renters and to change their rental or payment policies. In one case, for example, officials from Zaire stopped paying rent to their private landlord and ran up $400,000 in debt. When the landlord sued, the US State Department defended the Zaireans on the basis of diplomatic immunity, and a circuit court agreed. When the landlord finally cut off the utilities, the officials fled without paying their back rent. The landlords reportedly later reached an "amicable agreement" with the Zaire government. Alimony and child support The issue of abusing diplomatic immunity in family relations, especially alimony and child support, has become so widespread that it prompted discussion at the 1995 UN Fourth World Conference on Women, in Beijing. Historically, the United Nations has not become involved with family disputes and has refused to garnish the wages of diplomats who owe money for child support, citing sovereign immunity. However, in September 1995, the incumbent head of Legal Affairs for the United Nations acknowledged there was a moral and legal obligation to take at least a partial responsibility in family disputes. Fathers working as diplomats who refused to fulfill their family-related financial duties were increasing in numbers in the United Nations: several men who had left their wives and children were still claiming UN dependency, travel, and education allowances for their families, though they are no longer supporting those families. Taxes and fees Diplomats are exempt from most taxes, but not from "charges levied for specific services rendered". In certain cases, whether a payment is or is not considered a tax may be disputed, such as central London's congestion charge. It was reported in 2006 that the UAE embassy had agreed to pay their own accumulated charges of nearly £100,000. There is an obligation for the receiving state not to "discriminate as between states"; in other words, any such fees should be payable by all accredited diplomats equally. This may allow the diplomatic corps to negotiate as a group with the authorities of the receiving country. Diplomats are exempt from import duty and tariffs for items for their personal use. In some countries, this has led to charges that diplomatic agents are profiting personally from resale of "tax free" goods. The receiving state may choose to impose restrictions on what may reasonably constitute personal use (for example, only a certain quantity of cigarettes per day). When enacted, such restrictions are generally quite generous so as to avoid tit-for-tat responses. Money laundering United States v. Al Sharaf is a criminal case which was filed by the government on March 5, 2015 in the United States District Court, District of Columbia. Al Sharaf was a Kuwaiti Financial Attaché assigned to handle the finances of Kuwait Health Office in Washington, D.C. She was charged by the government as she had violated 18 U.S.C § 1956 for conspiring to launder money. Al Sharaf filed a motion to dismiss the case on the basis of lack of subject matter jurisdiction because as per the 22 U.S.C § 254d her actions were immune under the diplomatic immunity that she had. Since it was a criminal case, the prosecution presented evidence beyond a reasonable doubt to prove that Al Sharaf had engaged in commercial activity and her actions were different from her official functions as a representative of Kuwait, thereby, as per the VCDR art. 31(c) her diplomatic immunity was subject to waiver. The court ruled in prosecution's favor and stated that since the defendant had engaged in commercial activity which was different from her official functions, her diplomatic immunity was subject to waiver and hence the defendant's motion to dismiss the case on the basis of lack of subject matter jurisdiction was denied. Espionage On 24 April 2008, in New Orleans, Mexican press attaché Rafael Quintero Curiel was seen stealing BlackBerry PDA units from a White House press meeting room. Quintero made it all the way to the airport before members of the United States Secret Service caught up with him. He initially denied taking the devices, but after being confronted with security video, Quintero claimed it was purely accidental, gave the devices back, claimed diplomatic immunity and left New Orleans with the Mexican delegation. He was eventually fired for the incident. In the United States The following chart outlines the immunities afforded to foreign diplomatic personnel residing in the United States. In general, these rules follow the Vienna Convention (or the New York Convention for UN officials) and apply in other countries as well (with the exceptions of immunities for United Nations officials, which can vary widely across countries based on the "Host Country Agreement" signed between the UN and the host country, whereby additional immunities beyond those granted by the New York Convention may be established). Notes and references Notes References Further reading David B. Michaels, International privileges and immunities: A case for a universal statute, Springer, July 1971, "Diplomatic and Consular Immunity: Guidance for Law Enforcement and Judicial Authorities" - United States Department of State Office of Foreign Missions. External links New York City Mayor's Office for International Affairs Vienna Convention on Diplomatic Relations, 1961 Vienna Convention on Consular Relations (VCCR), 1963 Rules of the road de:Diplomatie#Diplomatische Immunität
8935
https://en.wikipedia.org/wiki/Detroit%20River
Detroit River
The Detroit River flows west and south for from Lake St. Clair to Lake Erie as a strait in the Great Lakes system. The river divides the metropolitan areas of Detroit, Michigan, and Windsor, Ontario—an area collectively referred to as Detroit–Windsor—and forms part of the border between Canada and the United States. The Ambassador Bridge, the Detroit–Windsor Tunnel, and the Michigan Central Railway Tunnel connect the cities. The river's English name comes from the French ("River of the Strait"). The Detroit River has served an important role in the history of Detroit and Windsor, and is one of the world's busiest waterways. It is an important transportation route connecting Lake Michigan, Lake Huron, and Lake Superior to the St. Lawrence Seaway and Erie Canal. When Detroit underwent rapid industrialization at the turn of the 20th century, the Detroit River became notoriously polluted and toxic. Since the late 20th century, however, a vast restoration effort has been undertaken because of the river's ecological importance. In the early 21st century, the river today has a wide variety of economic and recreational uses. There are numerous islands in the Detroit River, and much of the lower portion of the river part is of the Detroit River International Wildlife Refuge. The portion of the river in the city of Detroit has been organized into the Detroit International Riverfront and the William G. Milliken State Park and Harbor. The Detroit River is designated both an American Heritage River and a Canadian Heritage River—the only river to have this dual designation. Geography The Detroit River flows for from Lake St. Clair to Lake Erie. By definition, this classifies it as both a river and a strait — a strait being a narrow passageway connecting two large bodies of water, which is how the river earned its name from early French settlers. However, today, the Detroit River is rarely referred to as a strait, because bodies of water referred to as straits are typically much wider relative to their length. The Detroit River is only wide. It begins with an east-to-west flow from Lake St. Clair, but curves and runs north to south. The deepest portion of the Detroit River is in its northern portion. At its source, the river is at an elevation of above sea level. The river is relatively level, dropping only before entering Lake Erie at . As the river contains no dams and no locks, it is easily navigable by even the smallest of vessels. The watershed basin for the Detroit River is approximately . Since the river is fairly short, it has few tributaries, the largest being the River Rouge in Michigan; this is four times longer than the Detroit River and contains most of the watershed. The only other major American tributary to the Detroit River is the much smaller Ecorse River. Tributaries on the Canadian side include Little River, Turkey Creek, and the River Canard. The discharge for the Detroit River is relatively high for a river of its size. The river's discharge averaged over the year is , and the river's flow is relatively constant. The Detroit River forms a major element of the international border between the United States and Canada. The river on the American side is all under the jurisdiction of Wayne County, Michigan, and the Canadian side is under the administration of Essex County, Ontario. The largest city along the Detroit River is Detroit, and most of the population along the river lives in Michigan. The Detroit River has two automobile traffic crossings connecting the United States and Canada: the Ambassador Bridge and the Detroit–Windsor Tunnel. Both of these are strongly protected by the U.S. Customs and Border Protection and the Canada Border Services Agency. The upper portion of the river is one of the few places where a Canadian city lies directly south of an American city. In this case, the city of Detroit is directly north of the city of Windsor, Ontario. The only other location where this occurs is Fort Erie, Ontario, which lies south of several cities in Niagara County, New York. The cities and communities southwest of Detroit along the American side of the river are popularly referred to as the Downriver area, because those areas are said to be "down the river" from Detroit. Several of these communities do not border the Detroit River but the term "Downriver" refers broadly to the cluster of 18 suburban communities that lie to the southwest of the city of Detroit and to the west of the Detroit River. Islands The Detroit River contains 31 charted islands. The majority of the islands are located on the American side of the river. Many of the islands are small and uninhabited, and none are divided by the international border, as the two countries do not share a land border along the river. Grosse Ile is the largest and most populated of all islands, and Fighting Island is the largest Canadian island. Most islands are located in the southern portion of the river. History Europeans first recorded navigating the Detroit River in the 17th century. The Iroquois traded furs with the Dutch colonists at New Amsterdam by traveling through the Detroit River. The French later claimed the area for New France. The famed sailing ship Le Griffon reached the mouth of the Detroit River in mid-August 1679 on its maiden voyage through the Great Lakes. Later, when the French began settling in the area, they navigated the river using canoes made of birch or elm bark. Handcrafted vessels were a common mode of travel across the river, and pirogues and bateaux were also used. As the North American fur trade intensified, European settlers expanded their trade westward into uncharted territories. French explorer Antoine Laumet de La Mothe, sieur de Cadillac sailed up the Detroit River on July 23, 1701. The next day, he established Fort Pontchartrain du Détroit, which developed as Detroit. The French named the river as Rivière Détroit. Détroit is French for "strait". The river was known literally as the "River of the Strait". When Great Britain defeated the French in the Seven Years' War (known as the French and Indian War on the American front), it took over control of the Detroit River, as well as other French territory east of the Mississippi River. The newly formed United States claimed this territory during the American Revolution, but the British did not transfer it until 1796. During the War of 1812, the Detroit River served as a major barrier between the American Michigan Territory and British Upper Canada, especially during the Battle of Fort Detroit in August 1812. Detroit briefly fell to the British. After the completion of the Erie Canal in 1817, which opened up easier travel to Lake Erie from the East Coast of the United States, connecting the Great Lakes to the Hudson River and the port of New York City, the Detroit River became a route for many migrating settlers traveling to northern Michigan. Detroit rapidly attracted a share of new residents. Following the Patriot War, in which British regulars and Michigan militia nearly came to armed conflict on the ice-covered Detroit River, the United States built Fort Wayne at Detroit to counter Britain's riverside Fort Malden at Amherstburg across the river. The Detroit River served as a final stop on the Underground Railroad and was the most active entry point along the United States–Canada border for fugitive slaves. Escaping slaves often chose to cross through the Detroit River rather than flee to Mexico because of the river's location near free states made it less risky than traveling through slaveholding states that border Mexico. The strong Underground Railroad networks in the Canadian border region also assisted Blacks hoping to flee from the U.S. once the Fugitive Slave Act was strengthened in 1850. Canada also granted legal immigration status to Blacks, while Mexico did not for many years. Individuals and organizations assisted escaping slaves hoping to cross the Detroit River from the United States into Canada. The Second Baptist Church of Detroit and First Baptist Church of Amherstburg coordinated ferrying thousands of Blacks across the Detroit River into Canada, and Detroit's Colored Vigilant Committee assisted over 1,500 fugitives in crossing into Canada. Famous abolitionists and Underground Railroad conductors including George DeBaptiste and William Lambert worked individually and with these organizations to assist fleeing slaves and condemn slavery.   There was considerable transnational fluidity between the Canadian and American sides of the river until the middle of the 19th century. The 1833 Blackburn Riots in Detroit, which erupted after slave hunters detained couple Lucie and Thornton Blackburn, marked the end of hundreds of years of a nearly porous border between Canada and the United States on the Detroit River. Detroit's African American population protested and helped the Blackburns escape across the Detroit River to Upper Canada, where the British colonial government in Canada declared former slaves could not be extradited to be returned to their owners. With their freedom in Canada secured, crossing the Detroit River out of the United States became an imperative for escaping slaves. During the American Civil War (1861–1865), the Union feared the seceded Confederate States of America (CSA) would plan a northerly attack from Canada, which was controlled by the British Empire and remained neutral in the war. The Union feared the CSA would cross the Detroit River to launch this attack. For that reason, Union forces regularly patrolled the Detroit River and the fortification at Fort Wayne improved, although it was far removed from any major combat. A Confederate plot to capture the U.S. Navy warship, USS Michigan, and liberate Confederate prisoners from Johnson Island, in western Lake Erie, was narrowly averted only after the Confederates had captured two passenger steamships. At the beginning of the 20th century, Detroit's industrialization took off on an unprecedented scale. The Detroit River became the world's busiest commercial river and in 1908 was dubbed "the Greatest Commercial Artery on Earth" by The Detroit News. In 1907, the Detroit River carried 67,292,504 tons (61 billion kg) of shipping commerce through Detroit to markets all over the world. By comparison, London shipped 18,727,230 tons (16 billion kg), and New York shipped 20,390,953 tons (18 billion kg). Prohibition From 1920 to 1933, the United States (US) enforced the Prohibition era. The sale, manufacture, and transportation of alcohol for consumption were nationally banned. Detroit, as the largest city bordering Canada, where alcohol remained legal during Prohibition, became the center of a new industry known as rum-running, smuggling liquor into the US. No bridges connected Ontario, Canada and Michigan, US, until the Ambassador Bridge was finished in 1929 and the Detroit–Windsor Tunnel in 1930. Smugglers used boats of varying sizes to transport alcohol across the river during the summer, and during the winter months, rum-runners traveled back and forth across the frozen Detroit River by car. In some cases, overloaded cars fell through the ice. In the 21st century, car parts from this illegal era are occasionally still found on the bottom of the river. Rum-running in Windsor and production of bootleg liquor became common practices. American mobsters such as the Purple Gang of Detroit used violence to control the route known as the "Detroit-Windsor Funnel," and continue to gain lucrative returns from the trade. The name parodied the newly built tunnel between the cities and nations. The Detroit River, Lake St. Clair, and the St. Clair River are estimated to have carried 75% of all liquor smuggled into the United States during Prohibition. Government officials were unable or unwilling to deter the flow. The rum-running industry died when prohibition was repealed in 1933 by the Twenty-first Amendment. Submerged objects Because of the booming businesses and long history of Metro Detroit and Windsor, Ontario, the Detroit River has been the site of many artifacts, some lost with sunken ships and others abandoned, such as murder weapons or stolen bronze statues. A DMC DeLorean has also been recovered from the river. The artifacts recovered are well preserved due to the river's fresh water but low visibility makes them difficult to find. A 1940s-era bronze statue depicting a classical nude woman was originally installed to overlook a reflecting pool in the Grosse Pointe War Memorial. It was nicknamed "The Nude," and, in 2001, was believed to have been successfully stolen for display in some art collector's private cache. During a police diving exercise near a submerged Jeep, the statue was found in 2009, restored, and returned to the memorial. Anchors from the SS Greater Detroit, a luxury steamship that toured the Detroit River from 1924 to 1950, and the famed SS Edmund Fitzgerald, a lake freighter that sank in a terrible 1975 storm, have notably both been recovered from the river. The 6,000-pound anchor of the SS Greater Detroit was raised in November 2016. It was installed at the Detroit/Wayne County Port Authority Building. The lost anchor of the SS Edmund Fitzgerald was recovered during a July 1992 project, and the anchor was installed in the yard of the Dossin Great Lakes Museum on Belle Isle. Since the 1980s, divers have recovered a total of six 1700s-era cannons from the river. The last was found in 2011 near the Cobo Center. They are believed to have been part of the pre-War of 1812 inventory kept by the British garrison in this area. Historians believe another three cannon may still be in the river. Inventory documents record a total of 17 cannons and 14 have been accounted for. It is believed that the British dragged the cannons onto the frozen river so they would sink with the spring thaw, and be kept from use by the American enemy. Another seven, larger cannons may have fallen off a barge closer to Amherstburg, Ontario, and may yet be found in the river. Pollution and conservation efforts Much of the land that surrounds the Detroit River is urbanized and, in some places, has been used for industrial purposes for more than 100 years. There has been excessive water pollution of the river from the long-term, unregulated dumping of chemicals, industrial waste, garbage, and sewage. Much of the Detroit River and its shoreline were polluted and unsafe for recreational use. Thousands of migrating birds died each year because of the oil slicks and contaminated water around the mouth of the Detroit River at Lake Erie. The river's oxygen levels were depleted to the point where fish could not inhabit its waters. Because this pollution often drained into and affected Lake Erie, the lake was considered "dead" and unable to support aquatic life. In 1961, a congressional order founded the Wyandotte National Wildlife Refuge. That began the government's placing tighter restrictions on industries; substantial government funding at various levels has been allocated to clean up the river. In this early period, opponents believed that such efforts would adversely affect Detroit's industry and economy. In 1970, toxic levels of mercury in the water resulted in the total closing of the fishing industry in the St. Clair River, Lake St. Clair, the Detroit River, and Lake Erie. Finally, a massive conservation effort was initiated to clean up the Detroit River. For years, the multi-million dollar cost of removing pollutants from the river and the political influence of nearby industries, hindered conservation efforts. In 1998, the Detroit River was designated as an American Heritage River by the US Environmental Protection Agency and in 2001 as a Canadian Heritage River.  It is the only river in North America to have such dual designations. In 2001, the Wyandotte National Wildlife Refuge was absorbed into the larger Detroit River International Wildlife Refuge, a cooperative effort between the United States and Canada to preserve the area as an ecological refuge. The millions of dollars spent since that time to dredge pollutants out of the Detroit River has led to a remarkable restoration, although problems remain. Today, many species of native animals that had been driven out by human development are returning to the area. The river is home to a growing number of bird species such as eagles (including reintroduced bald eagles), ospreys, and peregrine falcons. Large numbers of lake whitefish, sturgeon, silver bass, black bass, salmon, perch, and walleye are again thriving in the river. The Detroit River and its recovery efforts were listed as a Michigan State Historic Site in 2007. A historic marker was erected along the river in a park that now serves as the Detroit River International Wildlife Refuge visitor center in the city of Trenton. Economy The Detroit River is used for shipping and trading. The earliest use of the river for these economic activities was the shipping of furs for trade as early as the 17th century. By the time the fur trade decreased, Michigan had begun to exploit the lumber-rich areas of Northern Michigan and the Upper Peninsula. Detroit turned into a major industrial region, largely because of the Detroit River. The only way a ship could travel out of the upper Great Lakes system was to travel down the Detroit River. From there, ships could travel anywhere in the world out of the St. Lawrence Seaway or the Erie Canal to New York City. At the beginning of the 20th century, the automotive industry boomed, and the many manufacturers imported abundant supplies of iron ore, sand, limestone and wood. The Detroit River provides substantial revenue for the local economies. A 1991 study showed $20.1 million came from sales related to waterfowl hunting along the Detroit River. The same year, bird watching, photography, and other non-consumptive uses of waterfowl contributed another $192.8 million to Michigan's economy. Local economies benefit through boating registrations and fishing licenses. It is estimated walleye fishing alone brings in $1 million to the economy of communities along the lower Detroit River each spring. Other fish caught by recreational fisherman include white bass, bluegill, crappie, freshwater drum, smallmouth bass, northern pike and muskie. There are over 800,000 recreation boats in Michigan, and more than half of them are regularly used on or near the Detroit River. Popular river destinations in Detroit include the Detroit International Riverfront and Belle Isle Park — both of which host events throughout the year. Several restaurants on the river have docks for boaters. Tour boats and dinner cruises travel through the sights of Detroit and the undeveloped islands downriver. Cruise ships support tourism on the Great Lakes and dock at the Port Detroit passenger terminal downtown. The iconic Renaissance Center is on the banks of the Detroit River. Bridges and crossings According to a 2004 study, 150,000 jobs and $13 billion in annual production depend on the river crossings connecting Detroit to Windsor. In 2004, the American trade with Ontario alone was $407 billion, in which 28% ($113.3 billion) crossed the Detroit River. There are two automobile traffic routes that completely cross the river: the Detroit–Windsor tunnel and the privately owned Ambassador Bridge, both of which connect Detroit, Michigan to Windsor, Ontario. A railway tunnel and a commercial truck ferry service also travel between Detroit and Windsor. In Michigan, there are two bridges connecting the mainland to Grosse Ile, as well as the MacArthur Bridge that connects the mainland Detroit to Belle Isle. All ports of entry on the American side are secured by the U.S. Customs and Border Protection, and the Canadian side is secured by the Canada Border Services Agency; all areas between the American ports of entry and on the American side of the river are secured by the United States Border Patrol. The Gordie Howe International Bridge is a new bridge project which began construction in 2019; it will directly connect Highway 401 in Canada to Interstate 75 in the United States. See also Canada–United States border Detroit–Windsor Detroit-Windsor Tunnel Detroit International Riverfront Detroit Water and Sewerage Department Great Lakes Water Authority List of international river borders List of islands in the Detroit River List of rivers of Michigan List of rivers of Ontario Renaissance Center Riverfront Towers William G. Milliken State Park and Harbor Windsor–Detroit International Freedom Festival References External links Detroit Riverfront Conservancy Sea Grant Michigan Friends of the Detroit River The Detroit River Looking Up to the Entrance to Lake St. Clair, Windsor, Canada, September 24, 1864 by D.J. Kennedy, Historical Society of Pennsylvania Nolan, Jenny, "How the Detroit River shaped lives and history" (February 11, 1997), Detroit News. Rivers of Michigan Rivers of Ontario Border rivers Canada–United States border International rivers of North America American Heritage Rivers Canadian Heritage Rivers Michigan State Historic Sites in Wayne County, Michigan Straits of Canada Straits of Michigan Geography of Detroit History of Detroit Lake St. Clair Rivers of Wayne County, Michigan Michigan in the War of 1812 Southwestern Ontario Tributaries of Lake Erie
8940
https://en.wikipedia.org/wiki/David%20Huffman
David Huffman
David Oliver Huffman (May 10, 1945 – February 27, 1985) was an American actor and producer. Personal life Huffman was born on May 10, 1945, in Berwyn, Illinois, to Clarence and Opal Huffman (née Dippel). Huffman married casting director Phyllis Huffman (nee Grennan) in 1967, whom he had met as a student at Webster University in St. Louis, Missouri. The couple had two sons and remained married until Huffman's death in 1985. Huffman was an avid sailer, recreational painter, and country‐and‐western guitarist. Murder On the morning of February 27, 16-year-old Genaro Samano Villanueva, was taken into San Diego police custody after attempting to steal a radio from a car near his home. Released into the custody of his high school vice principal, Villanueva left school and went to Balboa Park. There he was spotted by Canadian tourist Jack Beamer prowling around inside the motor home of Beamer's friends. After Beamer accosted him, Villanueva fled the scene. Huffman, who was cast in the play Of Mice and Men at the Old Globe Theatre and was set to begin work on the television miniseries North and South the following week, had visited the theatre shortly before noon to share cookies with the cast and crew and was sitting in his van near the theatre playing his bagpipes when he saw Beamer confront Villanueva. He gave chase in his vehicle, parking the van near the Spreckels Organ Pavilion and following Villanueva into the park. When he caught up with Villanueva, the two became involved in a physical altercation, during which Villanueva stabbed Huffman twice in the chest with a screwdriver. Huffman died of exsanguination, likely within 30 to 45 seconds. His body was found less than an hour later in a Palm Canyon crevice by a group of children, although it was not positively identified until later that night. On March 2 and 3, Crime Stoppers produced a reenactment of the crime that was shown on San Diego television and published in several national newspapers. The Canadian tourists whose motor home was burglarized saw Huffman's photo and death announcement in the newspaper and called police. Huffman was buried on March 5 at Forest Lawn Memorial Park (Hollywood Hills). Villanueva was arrested on March 12 after a police officer recognized Villanueva from a composite sketch given to police by the Canadian tourist. On June 24, 1986, Villanueva was sentenced to 26 years to life in prison and admitted to the California State Prison, Centinela. On December 9, 2011, he was denied parole for 15 years. Broadway stage credits Butterflies Are Free as Don Baker (October 21, 1969 – July 2, 1972) Filmography References External links David Huffman(Aveleyman) David Huffman at Find A Grave Huffman and Gloria Swanson in 1972 play version Butterflies Are Free: Picture 1(archived) Picture 2(archived) Picture 3(archived) 1945 births 1985 deaths 1985 murders in the United States 20th-century American male actors American male film actors American male stage actors American male television actors Television producers from Illinois Burials at Forest Lawn Memorial Park (Hollywood Hills) Deaths by stabbing in the United States Male actors from Illinois People from Berwyn, Illinois People murdered in California 20th-century American businesspeople
8953
https://en.wikipedia.org/wiki/Dana%20Rohrabacher
Dana Rohrabacher
Dana Tyrone Rohrabacher (; born June 21, 1947) is a former American politician, who served in the U.S. House of Representatives from 1989 to 2019. A Republican, he formerly represented for the last three terms of his House tenure. Rohrabacher ran for re-election to Congress in 2018, losing to Democrat Harley Rouda. He was the longest-serving House incumbent to lose reelection in 2018. Rohrabacher has expressed strong pro-Russia and pro-Putin opinions, which have raised questions about his relationship with Vladimir Putin and the Russian government. Early life, education, and career Rohrabacher was born on June 21, 1947, in Coronado, California, the son of Doris M. (née Haring) and Donald Tyler Rohrabacher. He attended elementary school locally, and during his college years, he lived in Sunset Beach. Rohrabacher graduated from Palos Verdes High School in Palos Verdes Estates, California, attended community college at Los Angeles Harbor College, and earned a bachelor's degree in history at California State University, Long Beach in 1969. He received his master's degree in American Studies at the University of Southern California. While in graduate school and during the early 1970s, Rohrabacher had a side activity as a folk singer. He was also a writer for the Orange County Register. At this time he was considered a free-market anarchist and libertarian activist, following his previous membership in Young Americans for Freedom. Libertarian author Samuel Konkin recalled Rohrabacher as "a charismatic campus activist, radicalized by Robert LeFevre who provided him with small funding to travel the country with his instrument and folk songs from campus to campus, converting YAF chapters into Libertarian Alliances and SIL chapters." Rohrabacher served as assistant press secretary to Ronald Reagan during his 1976 and 1980 presidential campaigns. Rohrabacher then worked as a speechwriter and special assistant to President Reagan from 1981 to 1988. During his tenure at the White House, Rohrabacher played a leading role in the formulation of the Reagan Doctrine. U.S. House of Representatives Elections Rohrabacher left the Reagan administration in 1988 to pursue Dan Lungren's recently vacated House seat. With his friend Oliver North's fundraising help, Rohrabacher won the Republican primary with a plurality of 35%. He won the general election with 64% of the vote. He twice experienced serious primary competition, in 1992 and 1998. After redistricting, he won a three-candidate primary election in 1992 with a plurality of 48%. In 1998, he won an open primary with 54% of the vote. In general elections, only one time, in 2008, did he receive less than 55% of the vote, until he was defeated. 2008 In 2008, Rohrabacher defeated Democratic nominee Debbie Cook, mayor of Huntington Beach, 53%–43%, the lowest winning percentage of Rohrabacher's career. 2010 In 2010, Rohrabacher defeated Democratic nominee Ken Arnold 62%–38%. 2012 After redistricting, Rohrabacher announced in 2012 that he would run in the newly redrawn 48th Congressional district. He said "The new 48th District is a good fit and something that will enable me to serve my constituents and the country well." He won re-election in this Orange County district, with 61% of the vote. 2014 Rohrabacher won reelection with 64.1% of the vote. 2016 Rohrabacher won reelection with 58.3% of the vote. 2018 In March 2018, CNN reported that Erik Prince, a former intern of Rohrabacher while he was freshman congressman in 1990 and very close ally of Rohrabacher, hosted a fundraiser at Prince's Virginia home with expected attendees including Oliver North on March 18, 2018. On October 12, 2018, the Los Angeles Times reported that the Congressional Leadership Fund, a Super PAC closely associated with House Speaker Paul Ryan, had passed over Rohrabacher in its initial round of broadcast television advertising across Southern California. Rohrabacher's campaign denied this, saying that CLF had spent "about $2.4 million and they have an additional $1 million in media buys scheduled" for Rohrabacher. Democrat Harley Rouda was declared the winner on November 10, 2018. Tenure In 1990, Rohrabacher opposed the National Endowment of the Arts and joined Mel Hancock in demanding its abolition. In a February letter to other members of Congress, Rohrabacher sent a photograph by artist and AIDS activist David Wojnarowicz. In April, liberal constitutional rights group People for the American Way announced its intent to launch a newspaper advert campaign against Rohrabacher. Western vice president of the organization Michael Hudson stated, "Americans overwhelmingly reject censorship of the arts and support the NEA. Rep. Rohrabacher has taken the leading role in the House calling for the abolishment of the NEA. If we are to win this battle, we must energize and mobilize the creative community here in Los Angeles." Rohrabacher welcomed the announcement, stating that his constituents "don't want federal dollars to go to sacrilegious or obscene art" and that it would help voters to understand the issue. Explaining his position, Rohrabacher stated that he did not believe "anyone should be prevented from seeing what they want to see or painting what they want to paint...on their own time and their own dime. But if you get a government subsidy, that's another question." In October, the House passed a bill to reauthorize funds for the NEA with the directive that the organization could not fund obscene art. Rohrabacher introduced an amendment that would include specific guidelines on the kind of art projects that could not be funded, such as works that were sexually explicit or denigrated the American flag or religions, the amendment being rejected by a vote of 249-175. Rohrabacher stated his amendment was supposed to ensure that the federal government was "not subsidizing obscenity, child pornography, attacks on religion, desecration of the American flag or any other of the outrages we have seen in the past." By the time the House passed the bill, Rohrabacher had become known as " the House's most outspoken critic of the NEA". Race quotas In October 1991, Rohrabacher wrote a letter to the civil rights division of the Education Department after seven Filipino students complained to the media that they were denied admission to the University of California, San Diego (UCSD). Rohrabacher requested the department conduct a federal civil rights investigation on what seemed to be "a quota based upon race that illegally discriminates against Filipino-Americans and possibly applicants of other races". UCSD vice chancellor for undergraduate affairs Joseph Watson refused the letter, dismissing Rohrabacher as "wrong when he says that 40% of admissions are reserved for certain races". He stated that the school ranks all applicants using a grade-based formula. Watson charged Rohrabacher with fanning hysteria over discrimination: "The Rohrabacher approach is to play to public fears that something fishy is going on. We don't want anyone to feel we're not giving everyone a fair and equitable review that can stand up to any scrutiny." Election fraud and conviction Rohrabacher was charged with improper use of campaign contributions in the 1995 state assembly election for providing money from his campaign and giving it to his Campaign Manager, and future wife, Rhonda Carmony (R) in order to promote a decoy Democratic candidate, Laurie Campbell, to draw away votes from the primary Democratic candidate Linda Moulton-Patterson, who was running against Republican Candidate Scott R. Baugh. Rohrabacher was found guilty and fined $50,000. (1995) Impeachment of Bill Clinton In November 1997, Rohrabacher was one of eighteen Republicans in the House to co-sponsor a resolution by Bob Barr that sought to launch an impeachment inquiry against President Bill Clinton. The resolution did not specify any charges or allegations. This was an early effort to impeach Clinton, predating the eruption of the Clinton–Lewinsky scandal. The eruption of that scandal would ultimately lead to a more serious effort to impeach Clinton in 1998. On October 8, 1998, Rohrabacher voted in favor of legislation that was passed to open an impeachment inquiry. On December 19, 1998, Rohrabacher voted in favor of all four articles of impeachment against Clinton (only two of which received the needed majority of votes). National Defense Bill In 2011, Rohrabacher voted against the National Defense Authorization Act for Fiscal Year 2012. Jack Wu embezzlement In June 2015, Rohrabacher released a statement accusing former treasurer of his reelection committee, Jack Wu, of embezzling more than $170,000 from his campaign. Rohrabacher's attorney Charles H. Bell Jr. stated that the congressman had filed criminal charges against Wu with the Orange County district attorney and state attorney general. 2011 visit to Iraq During a trip to Iraq in June 2011, he said that Iraq should pay back the US for all the money it had spent since the invasion, when it becomes a wealthy country. Rohrabacher also commented he would be holding a hearing with the Sub-Committee on Oversight and Investigations into whether Iraq committed "crimes against humanity" during an attack on Camp Ashraf in April 2011. The incident left 34 residents killed and over 300 wounded. The delegation was denied access to the camp by Iraqi government, citing their sovereignty. Rohrabacher's delegation was subsequently asked to leave the country. Payment for 30-year-old screenplay On November 4, 2005, the Los Angeles Times reported that Rohrabacher was paid $23,000 for a 30-year-old screen play he had written. At issue was whether the producer paid him for the screenplay or for introductions to congressional and federal officials. Rohrabacher said that the introductions were made in good faith, were nothing that was not done regularly for legitimate causes, and that the introductions had only become an issue because of Joseph Medawar's alleged misdeeds. In May 2006, Rohrabacher announced through his press secretary that he would return the $23,000. The decision was made public shortly before Medawar took responsibility in a United States District Court for bilking $3.4 million from about 50 investors. 2016 consideration for Secretary of State Following the election of Donald Trump in 2016, Rohrabacher was on the shortlist for Secretary of State along with Mitt Romney and eventual pick Rex Tillerson. Trump protesters turned away from office In February 2017, Rohrabacher faced criticism for refusing to meet with constituents that showed up at his local Huntington Beach office. The constituents were upset with his support of President Donald Trump. Police were called to remove the constituents. Committee assignments Committee on Foreign Affairs Subcommittee on the Middle East and South Asia Subcommittee on Oversight and Investigations (Chairman) Committee on Science, Space and Technology Subcommittee on Space and Aeronautics Subcommittee on Energy and Environment Rohrabacher chaired the Space and Aeronautics Subcommittee of the House Science Committee from 1997 until January 2005; he received a two-year waiver to serve beyond the six-year term limit. As a senior member of the International Relations Committee, Rohrabacher led the effort to deny Most Favored Nation trading status to the People's Republic of China, citing that nation's dismal human rights record and opposition to democracy. His subcommittee assignments were East Asia and Pacific, and Middle East and South Asia. Caucus memberships Congressional Cannabis Caucus Congressional Human Rights Caucus United States Congressional International Conservation Caucus Congressional Taiwan Caucus Sportsmen's Caucus Freedom Caucus House Baltic Caucus Foreign and security policy positions Russia Early in Rohrabacher's congressional career in 1990 or 1991, KGB agent and deputy mayor of Saint Petersburg Vladimir Putin and two other Russians entered Rohrabacher's congressional office in Washington D.C. who subsequently became close friends according to Rohrabacher during a 2013 interview with KPCC. Rohrabacher called the Russian banker Aleksandr Torshin, a Putin ally, "sort of the conservatives' favorite Russian". On September 8, 2008, at a House of Representatives Foreign Affairs Committee meeting, Rohrabacher argued that the Georgians had initiated a recent military confrontation in the ongoing Russia–Georgia war. In 2012, the FBI warned Rohrabacher that Rohrabacher's support for Russia's interests was allowing Russia to cultivate him for its purposes. In February 2013, Rohrabacher gave a speech urging the right to self-determination for the Baloch people in Pakistan at an UNPO conference in London. In April 2014, he tweeted that "If majority of people legally residing in Alaska want to be part of Russia then its OK with me." In February 2017, he responded to the April 2014 tweet by writing "We fought a war against slavery. With out that factor if majority in any state wants out, let them go." In April 2016, Rohrabacher and a member of his staff, Paul Behrends, traveled to Russia and returned with Yuri Chaika's confidential talking points memo about incriminating information on Democratic donors which were later discussed in the Trump Tower meeting on June 9, 2016. The talking points paper used at the Trump Tower meeting in June by Natalia Veselnitskaya was very similar to the document Rohrabacher had obtained from Chaika in April and included some paragraphs verbatim. It has been reported in multiple sources that Rohrabacher is known for his long-time friendship with Russia's Vladimir Putin and his defense of "the Russian point of view." On June 15, 2016, then-House Majority Leader Kevin McCarthy told a group of Republicans, "There's two people I think Putin pays: Rohrabacher and Trump. Swear to God." Then-House Speaker Paul Ryan ended the conversation, saying "No leaks. This is how we know we're a real family here." The Republicans present were sworn to secrecy. Brendan Buck, counselor to Paul Ryan, initially denied these reports, but was then told The Washington Post had a recording. After the recording was leaked by the Post in May 2017, McCarthy said the comment was intended as a joke which had not worked. It was not reported for another year that around that time, Rohrabacher had planned, in his capacity as chair of the Europe subcommittee, to hold a hearing on the Magnitsky Act, which bars certain Russian officials from entering the United States or holding any financial assets in American banks. At the hearing Bill Browder, the American-born investor who had lobbied for the act's passage after what he claims was the illegal appropriation of his hedge fund's assets and the subsequent murder of his Russian lawyer Sergei Magnitsky, was to testify. Rohrabacher planned to subject him to what was described as a "show trial", where in addition to questioning Browder closely and skeptically about his claims, a feature-length documentary film critical of the Magnitsky claims, directed by Andrei Nekrasov, was to be shown in its entirety. Among the other witnesses scheduled to testify were Russian lawyer Natalia Veselnitskaya, a longtime lobbyist against the Magnitsky Act; at around the same time, she had attended a meeting with Donald Trump Jr, Jared Kushner and Trump's then-campaign manager Paul Manafort at which the Russians purportedly offered to share negative information about Hillary Clinton, Trump's opponent in that year's election. In July 2017, Browder testified to the Senate Judiciary Committee that persons supporting the interests of foreign governments or acting on their behalf, especially Russia, must comply with Foreign Agents Registratin Act (FARA) requirements and that no one behind the screening of the Andrei Nekrasov film had met the disclosure filings under FARA. When Foreign Affairs Committee chairman Ed Royce learned of the plans, he canceled the hearing and forbade Rohrabacher from showing the film. In its stead, he held a full committee hearing on U.S.-Russia relations at which Rohrabacher was allowed to submit some of the pro-Russian claims into evidence. The film was ultimately shown at the Newseum, and an intern in Rohrabacher's office who later worked for the Trump transition team sent emails promoting the film from the subcommittee offices. After Donald Trump won the 2016 presidential election, Rohrabacher defended his approach to improving Russian–American relations. He had previously met at least twice to discuss Russian sanctions with Rinat Akhmetshin, a former Soviet spy "who met with President Trump's son, son-in-law and campaign manager in June 2016". In a May 2017 interview with CNN, Rohrabacher said, "We have a huge double standard with Russia when it comes to prisoners and other things," and further stated that interference by the Russian intelligence services' in the 2016 U.S. election was the same as the National Security Agency (NSA) bugging German Chancellor Angela Merkel's phone. In July 2017, Rohrabacher voted for imposing new sanctions on Iran, North Korea, and Russia. In February 2020, it was reported that in August 2017, Rohrabacher met with Julian Assange in the Ecuadorian Embassy in London to offer Assange a pardon from President Trump if Assange can offer material supporting Seth Rich as the source of email leaks from the Democratic National Committee during 2016 and not Russians. In October 2017, the House Committee on Foreign Affairs placed restrictions on Rohrabacher's ability to use committee money to pay for foreign travel due to concerns over his interest in Russia. In an interview with Fox Business Channel on August 24, 2018, Rohrabacher attacked Attorney General Jeff Sessions, because Sessions had refused to fire Robert Mueller and shut down the Russia collusion investigation. He said: "The fact that Jeff Sessions has not quit is a disloyalty to this president and to the country, the fact is, if he disagrees with what the president wants him to do, he should resign." It was reported in February 2020 Rohrabacher told Yahoo News his goal during a meeting with Julian Assange was to find evidence for a widely debunked conspiracy theory that WikiLeaks' real source was not Russian intelligence agents for the DNC emails but former DNC staffer Seth Rich. Stephanie Grisham, White House spokesperson for President Trump, stated that Trump barely knew Rohrabacher, except that he was an ex-congressman, and has not spoken with Rohrabacher "on this subject or almost any subject". On February 19, 2020, Edward Fitzgerald, Julian Assange's barrister, asserted at Westminster Magistrates' Court in London that Rohrabacher had been sent on behalf of President Trump in August 2017 to offer Assange a pardon from Trump if Assange could release material to show that Russian intelligence were not involved in the 2016 United States election interference. Terrorism In 2006, Rohrabacher chaired the Subcommittee on Oversight and Investigations of the U.S. House Committee on International Relations, which investigated whether the Oklahoma City bombers had assistance from foreign sources; the committee determined there was no conclusive evidence of a foreign connection. In the 113th Congress, Rohrabacher was chair of the House Foreign Affairs Subcommittee on Europe, Eurasia and Emerging Threats. Speaking about Islam, he said during a hearing in April 2013, "I hope we all work together against a religion that will motivate people to murder children and other threats to us as a civilization." In 2014, Rohrabacher suggested that Iraq's borders be redrawn in response to the establishment of the Islamic State of Iraq and the Levant. In the wake of the 2016 Orlando nightclub shooting, Rohrabacher put out a press release stating that he felt "outrage" and a "renewed commitment to defeat and destroy the radical Islamic movement that fosters such mayhem." He stressed that Americans must "be sure not to label all Muslims as terrorist murderers." Rohrabacher met Seddique Mateen, the father of the shooter, in 2014 during routine meetings with constituents. He called Mateen an "estranged individual." On June 10, 2017, during a House Foreign Affairs Committee hearing on Lebanon's Hezbollah, a day after two ISIL attacks in Tehran, Rohrabacher said that: In a further statement to clarify his position, Rohrabacher wrote that he opposes "the use of force against unarmed civilians no matter who is the victim or who is doing the killing" but he is also against "Iran's vicious Mullah monarchy" and "when it comes to Sunni terrorists or Shiite terrorists, I prefer them to target each other rather than any other victims, especially innocent civilians and Americans." He added that it will "require support for those proud Iranians who want to win their freedom and heritage from Mullahs and are willing to fight for it. That does not include Isis, but it may include a lot of Iranians who see blowing up Khomeini's mausoleum as an expression of freedom from the yolk [sic] of Islamic terror." Defense of interrogation techniques and extraordinary rendition On April 17, 2007, during a House hearing on trans-Atlantic relations, Rohrabacher defended the Bush administration's program of extraordinary rendition. He said that the unfair treatment of one innocent suspect is an acceptable "unfortunate consequence" of holding others who would otherwise be free to commit terror acts. After he received boos and groans from the gallery, Rohrabacher responded, "Well, I hope it's your families, I hope it's your families that suffer the consequences," and "I hope it's your family members that die." Rohrabacher was subsequently interrupted by protesters wearing orange jumpsuits who were removed from the gallery. For his comment that imprisoning and torturing one innocent person was a fair price to pay for locking up 50 terrorists who would "go out and plant a bomb and kill 20,000 people", on April 25 Rohrabacher was named Countdown with Keith Olbermann's "Worst Person in the World". Afghanistan Rohrabacher's interest in Afghanistan extends back at least to the late 1980s, before his time in office, when he entered the country in the company of mujahedin fighters who were fighting Soviet occupation forces. Reportedly, these fighters "actually engaged Soviet troops in combat near the city of Jalalabad during the two months Rohrabacher was with them." In the years after the Soviet–Afghan War (1979–1989), Rohrabacher said his "passion" was to bring back the country's exiled king, Muhammad Zahir Shah. In 2003, Rohrabacher defended the new Afghan constitution against those who saw in it mainly empowerment of warlords, saying: Rohrabacher has since become a proponent of withdrawing from Afghanistan. He protested against the troop build-up in Afghanistan by President Obama, saying "If the Taliban is going is be defeated, it's got to be by the Afghan people themselves, not by sending more U.S. troops, which could actually be counterproductive." When Congressman Jim McGovern offered an amendment in 2011 requiring the Pentagon to draw up an exit plan from Afghanistan, Rohrabacher was just one of six Republicans to sign on. Rohrabacher voted for McGovern's Amendment to the National Defense Authorization Act, requiring an exit plan from Afghanistan. The bill failed by a 204–215 margin. Rohrabacher was against former President Obama's gradual drawdown of troops, instead supporting a full withdrawal. Saying "If we're going to leave, we should leave." Rohrabacher has said that "The centralized system of government foisted upon the Afghan people is not going to hold after we leave." And "So let's quit prolonging the agony and inevitable. Karzai's regime is corrupt and non representative of Afghanistan's tribal culture. This failed strategy is not worth one more drop of American blood. Under the current strategy, our military presence alienates more Afghans that it pacifies. So if you're going to pull the plug, then we need to get the hell out now." Rohrabacher has repeatedly raised high-level concerns in the US Congress and Washington, D.C., about the significant corruption in Afghanistan, including the Kabul Bank scandal, where hundreds of millions of U.S. taxpayers' dollars allegedly disappeared in a short period of time at the apparent hands of close Karzai family members, including brothers Mahmoud Karzai (a.k.a. Mahmood Karzai) and Ahmed Wali Karzai. Rohrabacher worked to bring attention to the systemic corruption in the Karzai government and cut U.S. taxpayers' funding for these wasteful projects and programs, involving corruption within the Hamid Karzai government. In April 2012, CNN reported that "A top Republican on the House Foreign Affairs committee was asked by the State Department not to go to Afghanistan because President Hamid Karzai objected to the visit. ... Dana Rohrabacher, R-California, told Security Clearance he was readying to travel with five other Republicans from Dubai to Afghanistan's capital, Kabul, when the State Department requested he stay behind." Bosnia and Kosovo independence Rohrabacher was opposed to the involvement of American ground troops in the Yugoslav Wars. He advocated for the direct bombing of the military on Yugoslav soil, criticizing the ineffectiveness of western forces against the Bosnian Serbs. (NATO was limited to small fixed attacks, as these Serbs penetrated UN safe areas and attacked Bosniak forces.) Rohrabacher said they "should bomb Serbia's military infrastructure, in Serbia – get that, in Serbia – rather than dropping a couple of duds on tents, which only proves the West's gutlessness, and emboldens Serbian cutthroats." Rohrabacher considered the events in Bosnia to constitute genocide. In 1995, Rohrabacher personally visited Sarajevo in Bosnia, criticizing the devastation Serb forces inflicted on the city, saying "This is a loss to all mankind, not just to the people of Sarajevo." He also encountered vagabond children asking for money. In 2001, the leader of the Albanian American Civic League ethnic lobby group, Joseph J. DioGuardi, praised Rohrabacher for his support to the Kosovo Liberation Army (KLA), a militia that was once labeled by Bill Clinton's special envoy to the Balkans Robert Gelbard as a terrorist organization, saying "He was the first member of Congress to insist that the United States arm the Kosova Liberation Army, and one of the few members who to this day publicly supports the independence of Kosova." Also in 2001, Rohrabacher gave a speech in support of American equipping the KLA with weaponry, comparing it to French support of America in the Revolutionary War, saying "Based on our own experience, the Kosova Liberation Army should have been armed. ... If the U.S. had armed the KLA in 1998, we would not be where we are today. The 'freedom fighters' would have secured their freedom and Kosova would be independent." China After a reconnaissance flight over the Spratly Islands in 1998, Rohrabacher said, "We can't ignore this bullying by the Communist Chinese in the Spratlys. The presence of the Chinese military troops...is not only a concern of the Philippines. It is also a concern of the U.S. and other democratic countries in the world." In July 1999, Rohrabacher led the House floor in opposition to legislation normalizing trade ties between the United States and China. The following year, as the House weighed another China trade bill, Rohrabacher said the trade bill was a giveaway to a select number of American billionaires and the Beijing regime, adding that President Bill Clinton could call "communist China 'our strategic partner' until his face turns blue, but it won't make them any less red." In 2011 interviews, Rohrabacher described the Chinese government under the leadership of Hu Jintao as "a gangster regime that murders its own people" and described the Chinese government as Nazis. In December 2016, after President-elect Trump had a phone call with President of Taiwan Tsai Ing-wen, Rohrabacher said the call had "showed the dictators in Beijing that he's not a pushover" and that China "has had an enormously aggressive foreign policy". Organ harvesting in China In 2012 Rohrabacher stated, and Iraq War Rohrabacher voted in support of the Authorization for the Use of Military Force Against Iraq in 2002, a position that he later said was "a mistake". Iran In August 2012, Rohrabacher noted on his official website that he had written a letter addressed to the U.S. State Department, noting his support of U.S. sponsorship of separatist movements in Iran. This elicited criticism from the Iranian-American community, which included challenging Rohrabacher's understanding of the historical background alluded to in his letter to the Department of State. In June 2017, a day after an ISIL attack in Tehran, during a House Foreign Affairs Committee hearing, Rohrabacher stated: "Isn't it a good thing for us to have the United States finally backing up Sunnis who will attack Hezbollah and the Shiite threat to us, isn't that a good thing?" This comment was strongly criticized by the National Iranian American Council, which wrote, "Rohrabacher has a long history of bizarre and offensive statements on Iran, but his callousness toward the Iranian victims of ISIS terror might be his most callous and extreme thus far." Rohrabacher supported removing the People's Mujahedin of Iran (MEK) from the United States State Department list of Foreign Terrorist Organizations; it was included on the list from 1997 to 2012. Rohrabacher received $10,300 from the MEK between 2013 and 2015. Aid to Pakistan In May 2011, in the wake of Osama Bin Laden's death, Rohrabacher introduced a bill to stop aid to Pakistan, stating that members of the government and of Pakistan's security force, the ISI, were either sheltering Bin Laden or completely incompetent. "We can no longer afford this foolishness. ... The time has come for us to stop subsidizing those who actively oppose us. Pakistan has shown itself not to be America's ally." Rohrabacher also demanded the return of the US helicopter that crashed in the operation to kill Bin Laden, stating "If this is not done immediately, it is probable, given Pakistan's history, that our technology has already found its way into the hands of the Communist Chinese military that is buying, building, and stealing the necessary military technology to challenge the United States." In June 2017, while speaking to Assistant Secretary of State for Political-Military Affairs Tina Kaidanow, Rohrabacher said, "We need to go on the record here, in this part of our government, to say that we're not going to be providing weapons systems to Pakistan that we're afraid are going to shoot down our own people. And we know they're engaged in terrorism." Support for Mohiuddin Ahmed In 2007, Rohrabacher supported Mohiuddin Ahmed, a detainee in the U.S., who was said to be involved in an attempted coup in Bangladesh, during which several people were murdered. He was convicted of the assassination of Sheikh Mujibur Rahman, the first President of Bangladesh. Bangladesh's extradition request was halted as Rohrabacher voiced concern about his legal rights, saying that he should be sent somewhere with no death penalty. His support was applauded by both Amnesty International and the U.S. Conference of Catholic Bishops. Mohiuddin Ahmed was found guilty of being a participant in the assassinations and was executed on January 28, 2010. Taiwan After President-elect Donald Trump answered a congratulatory phone call from democratically elected President of Taiwan Tsai Ing-wen on December 2, 2016, Rohrabacher said Trump's phone call with Taiwan's president was "terrific" because of the diplomatic warning it sent to China. "He showed the dictators in Beijing that he's not a pushover." He emphasized, "China has had an enormously aggressive foreign policy and by him actually going to Taiwan, he's showing the people in Beijing that they cannot have this aggressive foreign policy and expect to be treated just the same by an American president." Ukraine Rohrabacher gave a "qualified defense" of the annexation of Crimea by Russia in 2014. On March 6, 2014, he was one of 23 members of the House of Representatives to vote against a $1 billion loan guarantee to support the new government of Ukraine. In the March 11, 2014, House of Representatives vote (402 voting yes; 7 opposed) to condemn Russia for violating Ukraine's sovereignty, Rohrabacher voted "present". Commenting on the issue, he stated, "Starting with our own American Revolution, groups of people have declared themselves, rightfully, to be under a different government or a government of their choosing. People forget that's what our Declaration of Independence is all about." He also said, "The sanctions are an abomination of hypocrisy. This is ridiculous: What we were doing with the violence and military action we took to secure the Kosovars' right to self-determination was far more destructive and had far more loss of life than what Putin's done trying to ensure the people of Crimea are not cut off from what they would choose as their destiny with Russia." Uzbekistan During a US Congressional delegation's visit to Uzbekistan in February 2013, Rohrabacher made several controversial statements. The chief among those statements was that the United States should treat Uzbekistan like Saudi Arabia by disregarding the former's human rights abuses in achieving America's national interests, particularly in selling armaments and drones to Uzbekistan. North Macedonia In 2017, in an interview for an Albanian TV channel Vizion Plus Rohrabacher suggested that Macedonia "is not a country" and that the "Kosovars and Albanians from Macedonia should be part of Kosovo and the rest of Macedonia should be part of Bulgaria or any other country to which they believe they are related", which provoked a response from the Macedonian foreign ministry which accused him of inflaming "nationalistic rhetoric". Turkey In the wake of the clashes at the Turkish Ambassador's Residence in May 2017, Rohrabacher called Donald Trump to never invite Turkish President Recep Tayyip Erdoğan again to the United States, and to bar Americans from purchasing Turkish government debt. Eritrea In August 2017, Rohrabacher proposed amending the Department of Defense budget whereby the United States would establish military ties with Eritrea. Rohrabacher suggested that the two countries should cooperate in fighting the War on Terror, curbing Iranian influence in the Yemeni Civil War, and securing the Red Sea region. At the time of Rohrabacher's proposal, Eritrea was subject to international sanctions due to its alleged support of Al-Shabaab in Somalia, and to U.S. sanctions against the Eritrean Navy following an alleged shipment of North Korean military hardware to Eritrea. Julian Assange In August 2017, Rohrabacher attended a meeting in London with Julian Assange organized and attended by right-wing political activist Charles C. Johnson. Rohrabacher said that the discussion was about the possibility of a presidential pardon in exchange for Assange supplying information on the theft of emails from the Democratic National Committee, which were published by WikiLeaks before the 2016 presidential election. In October 2017, Rohrabacher and Johnson met with Senator Rand Paul (R-Kentucky) to discuss Assange supplying information about the source of leaked emails. However, Assange responded to news accounts of the meeting, tweeting, "WikiLeaks never has and never will reveal a source. Offers have been made to me—not the other way around. I do not speak to the public through third parties." Other foreign policy In March 2005, Rohrabacher introduced HR 1061, the American Property Claims Against Ethiopia Act, which would "prohibit United States assistance to the Federal Democratic Republic of Ethiopia until the Ethiopian government returns all property of United States citizens". The bill was introduced by Rohrabacher at the behest of Gebremedhin Berhane, a former Eritrean national and friend of the Rohrabacher family, after his business was expropriated by the Ethiopian government. On March 7, 2006, Rohrabacher introduced HR 4895, an amendment to the Foreign Assistance Act of 1961, "to limit the provision of the United States military assistance and the sale, transfer, or licensing of United States military equipment or technology to Ethiopia". During an appearance on MSNBC's The Ed Show, Rohrabacher accused Barack Obama of allowing violence in Iran to get out of hand because he did not speak forcefully enough against the country's leadership. He also said that Gorbachev tore down the Berlin Wall because Reagan told him to ("Tear down this wall"). In early 2010, he went to Honduras to commend the election of the new president. His entourage included a group of Californian property investors and businessmen, a dealer in rare coins, and CEOs from San Diego biofuels corporation (which is headed by a family friend). Domestic political positions Rohrabacher voted to repeal Obamacare, disputed evidence of man-made global warming, was a staunch opponent of illegal immigration, and favored the legalization of cannabis. In foreign policy, he supported withdrawing U.S. troops from Afghanistan, called for Trump to punish Turkish President Erdoğan on embassy violence, sided with Russia in the Russia–Georgia war, gave a qualified defense of the annexation of Crimea in 2014. Rohrabacher was warned in 2012 in a secure room at the Capitol building by an agent from the FBI that Russian spies may have been trying to recruit him to act on Russia's behalf as an "agent of influence", after he met with a member of the Russian foreign ministry privately in Moscow. Following the ISIS terrorist attacks in Tehran on June 7, 2017, in which 17 innocent civilians were killed, he suggested that the attack could be viewed as 'a good thing', and surmised that President Trump might have been behind the coordination of this terrorist attack. An article in The Atlantic suggested that there was serious concern in the State Department of ties between Rohrabacher and the Russian government. On November 21, 2017, The New York Times reported that Rohrabacher had come under scrutiny from special counsel Robert Mueller and the Senate Intelligence Committee for his close ties to the Kremlin. Rohrabacher had drawn public criticism for some of his positions. His controversial statements included the conspiracy theory claims, first promoted by the politically-biased conspiracy theory website Infowars, that Democrats secretly organized the Unite the Right Rally in Charlottesville to provoke the violence by the alt-right (which led to the murder of one anti-Nazi protester) in order to discredit President Trump. Rohrabacher had also consistently supported Russian interests in Congress and had defended Trump's controversial remarks regarding Russia. He had been a staunch supporter of President Donald Trump. Firearms In 2018 Sacha Baron Cohen's television program Who Is America? premiered showing Rohrabacher supporting the hoax "kinderguardians program" which supported training toddlers with firearms. Rohrabacher claims that he never spoke to Cohen, that he was taken out of context, and that he spoke, "broadly of making sure young people could get training in self-defense". Global warming Rohrabacher doubts the scientific consensus that global warming is caused by humans. During a congressional hearing on climate change on February 8, 2007, Rohrabacher mused that previous warming cycles may have been caused by carbon dioxide released into the atmosphere by "dinosaur flatulence": "In fact, it is assumed at best to be unproven and at worst a liberal claptrap, trendy, but soon to go out of style in our new Congress." Politico and The New York Times reported that on May 25, 2011, Rohrabacher expressed further skepticism regarding the existence of man-made global warming and suggested that, if global warming is an issue, a possible solution could be clear-cutting rain forests, and replanting. These reports sparked strong criticism by some scientists, including Oliver Phillips, a geography professor at the University of Leeds. They noted the consensus that intact forests act as net absorbers of carbon, reducing global warming. In response, Rohrabacher stated, Rohrabacher does not believe that global warming is a problem. At a town hall meeting with the Newport Mesa Tea Party in August 2013, Rohrabacher said "global warming is a total fraud" and part of a "game plan" by liberals to "create global government". Healthcare On May 4, 2017, Rohrabacher voted in favor of repealing the Patient Protection and Affordable Care Act (Obamacare) and passing the American Health Care Act. During his 2018 re-election campaign, Rohrabacher pledged to protect protections for individuals with preexisting conditions. Rohrabacher voted for his party's Obamacare replacement bill that included state waivers from rules that prohibit charging higher prices to people with pre-existing conditions. Immigration Rohrabacher was an advocate for the state of California's Proposition 187, which prohibited illegal immigrants from acquiring government services. In 2004, he sponsored an amendment that would have prohibited federal reimbursement of hospital-provided emergency care and certain transportation services to undocumented aliens unless the hospital provided information about the aliens' citizenship, immigration status, financial data, and employer to the Secretary of Homeland Security. Aliens who were in the country illegally would receive reimbursement only after they were deported. The proposed bill was defeated, 331–88. In 2005, Rohrabacher opined that the Republican Party was split on the issue of immigration: "There are those of us who identify with the national wing and patriotic wing of the party who have always been adamant on the illegal immigration issues. And, on the other side, you have those people who believe in the business and global marketplace concept. So, you have a party with two different views on one of the major issues of the day." In early 2008, Rohrabacher endorsed Mitt Romney in the Republican presidential primary, citing his positions on stemming illegal immigration and criticizing John McCain. About McCain, he said: "He's been the enemy of those of us who have stemmed the flow of illegals into our country, whereas Romney has made some very tough commitments." In 2011, Rohrabacher proposed the bill H.R. 787 known as the "No Social Security for Illegal Immigrants Act of 2011". The bill: "Amends title II of the Social Security Act to exclude from creditable wages and self-employment income any wages earned for services by aliens performed in the United States, and self-employment income derived from a trade or business conducted in the United States, while the alien was not authorized to be so employed or to perform a function or service in such a trade or business." In 2013, an 18-year-old student visited Rohrabacher's office to discuss immigration reform. At some point their conversation became disagreeable, and the student said the congressman yelled at her: "I hate illegals!" He also allegedly threatened to deport her family. Rohrabacher's spokesperson has disputed both statements, averring that it was actually the student who started the confrontation by yelling at the spokesperson and telling her to "butt out". In September 2017, Rohrabacher supported the Trump administration's rescinding of the Deferred Action for Childhood Arrivals program, saying that those "in Congress must work to prevent such cynical loopholes from being created again by executive fiat" despite their possible empathy for the immigrants. The organization NumbersUSA has given Rep. Rohrabacher an A+ rating in accordance to his stance on illegal immigration. LGBT issues Rohrabacher has drawn controversy over his views on LGBT rights. He opposed same-sex marriage and endorsed Proposition 8, the ballot initiative in 2008 that would have prohibited same-sex marriage in California, during a debate at Orange Coast College, stating he "would suggest not changing the definition of marriage in our society to make a small number of people feel more comfortable". Rohrabacher voted in favor of the Federal Marriage Amendment in both 2004 and 2006, a proposed amendment to the U.S. Constitution that would have defined marriage as between a man and a woman and forbade states from recognizing or legalizing same-sex marriage. After the Supreme Court issued its decision in Hollingsworth v. Perry in 2013, that legalized same-sex marriage in California, Rohrabacher criticized the decision, stating that the decision was "not based on the merits of the issue but on a technicality". However, Rohrabacher has appeared to have endorsed the idea of leaving marriage to religious institutions only, stating on Twitter that churches should be solely responsible for conducting marriages but that the government should only recognize them. In May 2018, Rohrabacher provoked severe criticism after telling a meeting of the Orange County Association of Realtors that homeowners "should be able to make a decision not to sell their home to someone (if) they don't agree with their lifestyle." Though the statement did not explicitly refer to LGBT people, it was widely interpreted as such. LGBT groups denounced Rohrabacher for the remarks, and the National Association of Realtors, which had previously donated to Rohrabacher's re-election campaigns, condemned Rohrabacher, halted all of its financial support for him and repudiated its past donations to him. After Rohrabacher's constituents unseated him in favor of Harley Rouda, The Advocate praised the results and condemned Rohrabacher. Despite criticism from the LGBT community later in his career, early in his political career, Rohrabacher supported a proposal by gays to move to a rural California county and take leadership roles. Rohrabacher's "California Libertarian Alliance endorsed the project. 'Your main resources are the freedom you offer plus the environment you are locating in,' Dana Rohrabacher, one of the libertarian group’s founders and later speechwriter to then-President Reagan, wrote in a letter to GLF. 'The economic goods are perfect for some kind of a combination ski gambling resort.'" Cannabis Rohrabacher supported the legalization of cannabis for both medical and recreational purposes. He spoke against the policy of cannabis prohibition as early as May 2013, calling it a "colossal failure" in an op-ed penned for the Orange County Register. He further outlined his views in a May 2014 op-ed in National Review, arguing that the prohibition of cannabis has incurred a number of undesirable costs upon free society, such as an increase in gang violence, soaring incarceration rates, unconstitutional seizure of private property through civil forfeiture, corruption and militarization of police forces, and negative impacts on minority communities and relationships with Latin-American countries. Rohrabacher has called on fellow Republicans to reconsider their stance towards cannabis, citing core conservative principles such as limited government, individual liberty, respect for the Tenth Amendment, and respect for the doctor–patient relationship that Rohrabacher says lend support to loosening current laws. He also notes conservative leaders such as Milton Friedman, William F. Buckley, and Grover Norquist that have espoused similar drug policy views. In April 2016, Rohrabacher announced his endorsement of California's Proposition 64, the Adult Use of Marijuana Act. Rohrabacher is a strong proponent of states' rights when it comes to cannabis policy. He has introduced the Rohrabacher–Farr amendment for a number of years beginning in 2003, to prohibit the Justice Department from spending funds to interfere with the implementation of state medical cannabis laws. The amendment passed the House for the first time in May 2014, becoming law in December 2014 as part of an omnibus spending bill. Additional legislation that Rohrabacher has introduced includes the Respect State Marijuana Laws Act and the Veterans Equal Access Act. Rohrabacher has called on the DEA / DOJ to remove cannabis from the list of Schedule I drugs. In February 2017, Rohrabacher co-founded the Congressional Cannabis Caucus – along with Reps. Don Young (R–AK), Jared Polis (D–CO), and Earl Blumenauer (D–OR) – to help advance policy change regarding cannabis at the federal level. Rohrabacher earned an "A+" rating from NORML for his voting record regarding cannabis-related matters. Patent reform Rohrabacher was an opponent of the America Invents Act, a bill that is attempting to change the current Patent System. Rohrabacher opposes changing from a "first to invent system" to a "first to file system" saying it "hurts the little guy". Rohrabacher commented: "Make no mistake, 'first to file' weakens patent protection. It is likely to make vulnerable individual and small inventors, who don't have an army of lawyers on retainer. These 'little guys' have been the lifeblood of American progress and competitiveness for more than 200 years. Our system was designed to protect individual rights, and it has worked for all – not just the corporate elite." Rohrabacher went on to comment in a Politico op-ed: "We're told this is necessary to harmonize with Japanese and European patent law. But those systems were established by elitists and economic shoguns interested in corporate power, not individual rights." Space Rohrabacher was chairman of the Subcommittee on Space and Aeronautics from 1997 to January 2005 and has been active on space-related issues. In 2000, Space.com described Rohrabacher as "a strident advocate for supremacy in space, a philosophy shaped along a winding road from libertarian activist to White House speech writer in the Reagan administration". In 2007, Rohrabacher introduced a bill that would direct NASA to develop a strategy "for deflecting and mitigating potentially hazardous near-Earth objects". Rohrabacher has applauded the Apollo astronauts, calling them unofficial ambassadors. Rohrabacher stated "I applaud their efforts and accomplishments over the past fifty years. And I encourage all Americans to join with me in thanking them for their accomplishments and for the international role they have played in serving as unofficial Ambassadors to the world on our behalf." On July 18, 2017, Rohrabacher asked a panel of space experts testifying before the House Committee on Science, Space, and Technology if civilizations could have existed on Mars in the past. Kenneth Farley, a project scientist on NASA's Mars Rover 2020 Project, said: "I would say that is extremely unlikely." Tax reform Rohrabacher voted against the Tax Cuts and Jobs Act of 2017. Despite efforts made by Republicans to change the bill to be more generous regarding cap deductions on new home mortgages, Rohrabacher remained staunch at voting nay on the bill, as the more than half of the new mortgages in his district are above the $750,000 cap. He stated on his Facebook page that "Due to the pressure of several members like me, the bill was improved, but not enough for my constituents." 2020 presidential election After leaving office, Rohrabacher participated in "Stop the Steal" rallies in support of Donald Trump. On January 6, 2021, Rohrabacher was filmed breaching a United States Capitol Police barricade during the 2021 United States Capitol attack, although Rohrabacher was not charged with an offense. Personal life Rohrabacher has been married to his wife, Rhonda Carmony, since 1997. In 2004, they became parents of triplets. Rohrabacher was described by the Los Angeles Times as "an avid surfer". He also sings, plays guitar, and has written his own song about freedom and America. Rohrabacher revealed in May 2016 that he uses a cannabis-infused topical rub to treat his arthritis pain, allowing him to sleep through the night. The product is legal under California state law but remains a banned substance under U.S. federal law. In December 2018, a month after losing his bid for reelection, Rohrabacher announced that he would be moving to Maine to, among other things, write film scripts. In May 2019 he announced his appointment to the advisory board of BudTrader.com, a company that provides cannabis-related advertising services. Electoral history See also List of federal political scandals in the United States Timeline of Russian interference in the 2016 United States elections References External links Planetary Defense, Baltimore Chronicle, March 15, 2007 |- |- |- 1947 births 20th-century American politicians 21st-century American politicians American anti–illegal immigration activists Businesspeople in the cannabis industry California Republicans California State University, Long Beach alumni Living people Members of the United States House of Representatives from California People from Coronado, California People from Costa Mesa, California Politicians from San Diego Reagan administration personnel Republican Party members of the United States House of Representatives Tea Party movement activists University of Southern California alumni American libertarians
8958
https://en.wikipedia.org/wiki/Dunstan
Dunstan
Dunstan (c. 909 – 19 May 988) was an English bishop. He was successively Abbot of Glastonbury Abbey, Bishop of Worcester, Bishop of London and Archbishop of Canterbury, later canonised as a saint. His work restored monastic life in England and reformed the English Church. His 11th-century biographer Osbern, himself an artist and scribe, states that Dunstan was skilled in "making a picture and forming letters", as were other clergy of his age who reached senior rank. Dunstan served as an important minister of state to several English kings. He was the most popular saint in England for nearly two centuries, having gained fame for the many stories of his greatness, not least among which were those concerning his famed cunning in defeating the Devil. Early life (909–43) Birth and relatives According to Dunstan's earliest biographer, known only as 'B', his parents were called Heorstan and Cynethryth and they lived near Glastonbury. B states that Dunstan "oritur" in the days of King Æthelstan, 924 to 939. "Oritur" has often been taken to mean "born", but this is unlikely as another source states that he was ordained during Æthelstan's reign, and he would have been under the minimum age of 30 if he was born no earlier than 924. It is more likely that "oritur" should be taken as "emerged", and that he was born around 910. B states that he was related to Ælfheah the Bald, the Bishop of Winchester and Cynesige, Bishop of Lichfield. According to a later biographer, Adelard of Ghent, he was a nephew of Athelm, Archbishop of Canterbury, but this is less certain as it is not mentioned by B, who should have known as he had been a member of Dunstan's household. School to the king's court As a young boy, Dunstan studied under the Irish monks who then occupied the ruins of Glastonbury Abbey. Accounts tell of his youthful optimism and of his vision of the abbey being restored. While still a boy, Dunstan was stricken with a near-fatal illness and effected a seemingly miraculous recovery. Even as a child, he was noted for his devotion to learning and for his mastery of many kinds of artistic craftsmanship. With his parents' consent he was tonsured, received minor orders and served in the ancient church of St Mary. He became so well known for his devotion to learning that he is said to have been summoned by Athelm to enter his service. He was later appointed to the court of King Athelstan. Dunstan soon became a favourite of the king and was the envy of other members of the court. A plot was hatched to disgrace him and Dunstan was accused of being involved with witchcraft and black magic. The king ordered him to leave the court and as Dunstan was leaving the palace his enemies physically attacked him, beat him severely, bound him, and threw him into a cesspool. He managed to crawl out and make his way to the house of a friend. From there, he journeyed to Winchester and entered the service of Ælfheah, Bishop of Winchester. The bishop tried to persuade him to become a monk, but Dunstan was doubtful whether he had a vocation to a celibate life. The answer came in the form of an attack of swelling tumours all over Dunstan's body. This ailment was so severe that it was thought to be leprosy. It was more probably some form of blood poisoning caused by being beaten and thrown in the cesspool. Whatever the cause, it changed Dunstan's mind. He took Holy Orders in 943, in the presence of Ælfheah, and returned to live the life of a hermit at Glastonbury. Against the old church of St Mary he built a small cell five feet long and two and a half feet deep. It was there that Dunstan studied, worked at his art, and played on his harp. It is at this time, according to a late 11th-century legend, that the Devil is said to have tempted Dunstan and to have been held by the face with Dunstan's tongs. Monk and abbot (943–957) Life as a monk Dunstan worked as a silversmith and in the scriptorium while he was living at Glastonbury. It is thought likely that he was the artist who drew the well-known image of Christ with a small kneeling monk beside him in the Glastonbury Classbook, "one of the first of a series of outline drawings which were to become a special feature of Anglo-Saxon art of this period." Dunstan became famous as a musician, illuminator, and metalworker. Lady Æthelflaed, King Æthelstan's niece, made Dunstan a trusted adviser and on her death, she left a considerable fortune to him. He used this money later in life to foster and encourage a monastic revival in England. About the same time, his father Heorstan died and Dunstan inherited his fortune as well. He became a person of great influence, and on the death of King Æthelstan in 940, the new King, Edmund, summoned him to his court at Cheddar and made him a minister. Again, royal favour fostered jealousy among other courtiers and again Dunstan's enemies succeeded in their plots. The King was prepared to send Dunstan away. There were then at Cheddar certain envoys from the "Eastern Kingdom", which probably meant East Anglia. Dunstan implored the envoys to take him with them when they returned to their homes. They agreed to do so, but it never happened. The story is recorded: Abbot of Glastonbury Dunstan, now Abbot of Glastonbury, went to work at once on the task of reform. He had to re-create monastic life and to rebuild the abbey. He began by establishing Benedictine monasticism at Glastonbury. The Rule of St. Benedict was the basis of his restoration according to the author of 'Edgar's Establishment of the Monasteries' (written in the 960s or 970s) and according to Dunstan's first biographer, who had been a member of the community at Glastonbury. Their statements are also in accordance with the nature of his first measures as abbot, with the significance of his first buildings, and with the Benedictine leanings of his most prominent disciples. Nevertheless, not all the members of Dunstan's community at Glastonbury were monks who followed the Benedictine Rule. In fact, Dunstan's first biographer, 'B.', was a cleric who eventually joined a community of canons at Liège after leaving Glastonbury. Dunstan's first care was to rebuild the Church of St. Peter, rebuild the cloister, and re-establish the monastic enclosure. The secular affairs of the house were committed to his brother, Wulfric, "so that neither himself nor any of the professed monks might break enclosure." A school for the local youth was founded and soon became the most famous of its time in England. A substantial extension of the irrigation system on the surrounding Somerset Levels was also completed. Within two years of Dunstan's appointment, in 946, King Edmund was assassinated. His successor was Eadred. The policy of the new government was supported by the Queen mother, Eadgifu of Kent, by the Archbishop of Canterbury, Oda, and by the East Anglian nobles, at whose head was the powerful ealdorman Æthelstan the "Half-king". It was a policy of unification and conciliation with the Danish half of the kingdom. The goal was a firm establishment of royal authority. In ecclesiastical matters it favoured the spread of Catholic observance, the rebuilding of churches, the moral reform of the clergy and laity, and the end of the religion of the Danes in England. Against all these reforms were the nobles of Wessex, who included most of Dunstan's own relatives, and who had an interest in maintaining established customs. For nine years Dunstan's influence was dominant, during which time he twice refused the office of bishop (that of Winchester in 951 and Crediton in 953), affirming that he would not leave the king's side so long as the king lived and needed him. Changes in fortune In 955, Eadred died, and the situation was at once changed. Eadwig, the elder son of Edmund, who then came to the throne, was a headstrong youth wholly devoted to the reactionary nobles. According to one legend, the feud with Dunstan began on the day of Eadwig's coronation, when he failed to attend a meeting of nobles. When Dunstan eventually found the young monarch, he was cavorting with a noblewoman named Ælfgifu and her mother, and refused to return with the bishop. Infuriated by this, Dunstan dragged Eadwig back and forced him to renounce the girl as a "strumpet". Later realising that he had provoked the king, Dunstan fled to the apparent sanctuary of his cloister, but Eadwig, incited by Ælfgifu, whom he married, followed him and plundered the monastery. Although Dunstan managed to escape, he saw that his life was in danger. He fled England and crossed the channel to Flanders, where he found himself ignorant of the language and of the customs of the locals. The count of Flanders, Arnulf I, received him with honour and lodged him in the Abbey of Mont Blandin, near Ghent. This was one of the centres of the Benedictine revival in that country, and Dunstan was able for the first time to observe the strict observance that had seen its rebirth at Cluny at the beginning of the century. His exile was not of long duration. Before the end of 957, the Mercians and Northumbrians revolted and drove out Eadwig, choosing his brother Edgar as king of the country north of the Thames. The south remained faithful to Eadwig. At once Edgar's advisers recalled Dunstan. Bishop and archbishop (957–978) Bishop of Worcester and of London On Dunstan's return, Archbishop Oda consecrated him a bishop and, on the death of Coenwald of Worcester at the end of 957, Oda appointed Dunstan to the see. In the following year the see of London became vacant and was conferred on Dunstan, who held it simultaneously with Worcester. In October 959, Eadwig died and his brother Edgar was readily accepted as ruler of Wessex. One of Eadwig's final acts had been to appoint a successor to Archbishop Oda, who died on 2 June 958. The chosen candidate was Ælfsige of Winchester, but he died of cold in the Alps as he journeyed to Rome for the pallium. In his place Eadwig then nominated the Bishop of Wells, Byrhthelm. As soon as Edgar became king, he reversed this second choice on the ground that Byrhthelm had not been able to govern even his first diocese properly. The archbishopric was then conferred on Dunstan. Archbishop of Canterbury Dunstan went to Rome in 960, and received the pallium from Pope John XII. On his journey there, Dunstan's acts of charity were so lavish as to leave nothing for himself and his attendants. His steward complained, but Dunstan seems to have suggested that they trust in Jesus Christ. On his return from Rome, Dunstan at once regained his position as virtual prime minister of the kingdom. By his advice Ælfstan was appointed to the Bishopric of London, and Oswald to that of Worcester. In 963, Æthelwold, the Abbot of Abingdon, was appointed to the See of Winchester. With their aid and with the ready support of King Edgar, Dunstan pushed forward his reforms in the English Church. The monks in his communities were taught to live in a spirit of self-sacrifice, and Dunstan actively enforced the law of celibacy whenever possible. He forbade the practices of simony (selling ecclesiastical offices for money) and ended the custom of clerics appointing relatives to offices under their jurisdiction. Monasteries were built, and in some of the great cathedrals, monks took the place of the secular canons; in the rest the canons were obliged to live according to rule. The parish priests were compelled to be qualified for their office; they were urged to teach parishioners not only the truths of the Christian faith, but also trades to improve their position. The state saw reforms as well. Good order was maintained throughout the realm and there was respect for the law. Trained bands policed the north, and a navy guarded the shores from Viking raids. There was a level of peace in the kingdom unknown in living memory. In 973, Dunstan's statesmanship reached its zenith when he officiated at the coronation of King Edgar. Edgar was crowned at Bath in an imperial ceremony planned not as the initiation, but as the culmination of his reign (a move that must have taken a great deal of preliminary diplomacy). This service, devised by Dunstan himself and celebrated with a poem in the Anglo-Saxon Chronicle forms the basis of the present-day British coronation ceremony. There was a second symbolic coronation held later. This was an important step, as other kings of Britain came and gave their allegiance to Edgar at Chester. Six kings in Britain, including the kings of Scotland and of Strathclyde, pledged their faith that they would be the king's liege-men on sea and land. Edgar ruled as a strong and popular king for 16 years. In 975 he was succeeded by his eldest son Edward "the Martyr". His accession was disputed by his stepmother, Ælfthryth, who wished her own son Æthelred to reign. Through the influence of Dunstan, Edward was chosen and crowned at Winchester. Edgar's death had encouraged the reactionary nobles, and at once there was a determined attack upon the monks, the protagonists of reform. Throughout Mercia they were persecuted and deprived of their possessions. Their cause, however, was supported by Æthelwine, the ealdorman of East Anglia, and the realm was in serious danger of civil war. Three meetings of the Witan were held to settle these disputes, at Kyrtlington, at Calne, and at Amesbury. At the second of them the floor of the hall where the Witan was sitting gave way, and all except Dunstan, who clung to a beam, fell into the room below; several men were killed. Final years (978–88) In March 978, King Edward was assassinated at Corfe Castle, possibly at the instigation of his stepmother, and Æthelred the Unready became king. His coronation on Low Sunday 31 March 978, was the last state event in which Dunstan took part. According to William of Malmsesbury, writing over a century later, when the young king took the usual oath to govern well, Dunstan addressed him in solemn warning. He criticised the violent act whereby he became king and prophesied the misfortunes that were shortly to fall on the kingdom, but Dunstan's influence at court was ended. Dunstan retired to Canterbury, to teach at the cathedral school. Only three more public acts are known. In 980, Dunstan joined Ælfhere of Mercia in the solemn translation of the relics of King Edward, soon to be regarded as a saint, from their grave at Wareham to a shrine at Shaftesbury Abbey. In 984, in obedience to a vision of St Andrew, he persuaded King Æthelred to appoint Ælfheah as Bishop of Winchester in succession to Æthelwold. In 986, Dunstan induced the king, by a donation of 100 pounds of silver, to stop his persecution of the See of Rochester. Dunstan's retirement at Canterbury consisted of long hours, both day and night, spent in private prayer, as well as his regular attendance at Mass and the daily office. He visited the shrines of St Augustine and St Æthelberht, and there are reports of a vision of angels who sang to him heavenly canticles. He worked to improve the spiritual and temporal well-being of his people, to build and restore churches, to establish schools, to judge suits, to defend widows and orphans, to promote peace, and to enforce respect for purity. He practised his crafts, made bells and organs and corrected the books in the cathedral library. He encouraged and protected European scholars who came to England, and was active as a teacher of boys in the cathedral school. On the vigil of Ascension Day 988, it is recorded that a vision of angels warned he would die in three days. On the feast day itself, Dunstan said Mass and preached three times to the people: at the Gospel, at the benediction, and after the Agnus Dei. In this last address, he announced his impending death and wished his congregation well. That afternoon he chose the spot for his tomb, then went to his bed. His strength failed rapidly, and on Saturday morning, 19 May, he caused the clergy to assemble. Mass was celebrated in his presence, then he received Extreme Unction and the Viaticum, and died. Dunstan's final words are reported to have been, "He hath made a remembrance of his wonderful works, being a merciful and gracious Lord: He hath given food to them that fear Him." The English people accepted him as a saint shortly thereafter. He was formally canonised in 1029. That year at the Synod of Winchester, St Dunstan's feast was ordered to be kept solemnly throughout England. Legacy Until Thomas Becket's fame overshadowed Dunstan's, he was the favourite saint of the English people. Dunstan had been buried in his cathedral; and when that building was destroyed by a fire in 1074, his relics were translated by Archbishop Lanfranc to a tomb on the south side of the high altar in the rebuilt Canterbury Cathedral. The monks of Glastonbury used to claim that during the sack of Canterbury by the Danes in 1012, Dunstan's body had been carried for safety to their abbey. This story was disproved by Archbishop William Warham, who opened the tomb at Canterbury in 1508. They found Dunstan's relics still to be there. Within a century, however, his shrine was destroyed during the English Reformation. Patronage and feast day Dunstan became patron saint of English goldsmiths and silversmiths because he worked as a silversmith making church plate. The Eastern Orthodox Church and the Roman Catholic Church mark his feast day on 19 May. Dunstan is remembered in the Church of England with a Lesser Festival on 19 May. In literature and folklore English literature contains many references to him, for example in A Christmas Carol by Charles Dickens, and in this folk rhyme: St Dunstan, as the story goes, Once pull'd the devil by the nose With red-hot tongs, which made him roar, That he was heard three miles or more. This folk story is already shown in an initial in the Life of Dunstan in the Canterbury Passionale, from the second quarter of the 12th century (British Library, Harley MS 315, f. 15v.). Daniel Anlezark has tentatively suggested that Dunstan may be the medieval author of the poem "Solomon and Saturn", citing the style, word choice, and Hiberno-Latin used in the texts. However, Clive Tolley examines this claim from a linguistic point-of-view and disagrees with Anlezark's claim. Another story relates how Dunstan nailed a horseshoe to the Devil's foot when he was asked to re-shoe the Devil's cloven hoof. This caused the Devil great pain, and Dunstan only agreed to remove the shoe and release the Devil after he promised never to enter a place where a horseshoe is over the door. This is claimed as the origin of the lucky horseshoe. A further legend relating to Dunstan and the Devil seeks to explain the phenomena of Franklin nights, late frosts which occur around his Feast Day. The story goes that Dunstan was a great brewer and negotiated an agreement whereby the Devil could blast the blossom of local apple trees with frost, damaging the cider crop so that the saint's own beer would sell more readily. An East London saint As Bishop of London, Dunstan was also Lord of the Manor of Stepney, and may, like subsequent bishops, have lived there. Dunstan is recorded as having founded (or rebuilt) Stepney's church, in 952 AD. This church was dedicated to All Saints, but was rededicated to Dunstan after his canonisation in 1029, making Dunstan the Patron Saint of Stepney. References Notes Citations Sources Further reading Primary sources 'Author B', Vita S. Dunstani, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 3–52. Portions of the text are translated by Dorothy Whitelock in English Historical Documents c. 500–1042. 2nd ed. London, 1979. These have been superseded by the new edition and translation by Michael Lapidge and Michael Winterbottom, The Early Lives of St Dunstan, Oxford University Press, 2012. Adelard of Ghent, Epistola Adelardi ad Elfegum Archiepiscopum de Vita Sancti Dunstani, Adelard's letter to Archbishop Ælfheah of Canterbury (1005–1012) on the Life of St Dunstan, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series 63. London, 1874. 53–68. Also in the new edition and translation by Michael Lapidge and Michael Winterbottom, The Early Lives of St Dunstan, Oxford University Press, 2012. Wulfstan of Winchester, The Life of St Æthelwold, ed. and tr. M. Lapidge and M. Winterbottom, Wulfstan of Winchester. The Life of St Æthelwold. Oxford Medieval Texts. Oxford, 1991. Reliquiae Dunstanianae, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 354–439. Fragmenta ritualia de Dunstano, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 440–57. Osbern of Canterbury, Vita sancti Dunstani and Liber Miraculorum Sancti Dunstani, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 69–161. Eadmer, Vita S. Dunstani and Miracula S. Dunstani, ed. and tr. Bernard J. Muir and Andrew J. Turner, Eadmer of Canterbury. Lives and Miracles of Saints Oda, Dunstan, and Oswald. OMT. Oxford, 2006. 41–159 and 160–212; ed. W. Stubbs, Memorials of St Dunstan, archbishop of Canterbury. Rolls Series 63. London, 1874. 162–249, 412–25. An Old English Account of the King Edgar's Establishment of the Monasteries, tr. D. Whitelock, English Historical Documents I. Oxford University Press, 1979. Secondary sources Dales, Douglas, Dunstan: Saint and Statesman, Cambridge: Lutterworth Press, 1988/2013. Duckett, Eleanor. Saint Dunstan of Canterbury (1955). Dunstan, St. Encyclopedia of World Biography, 2nd ed. 17 vols. Gale Research, 1998. Knowles, David. The Monastic Orders in England (1940; 2d ed. 1963). Ramsay, Nigel St Dunstan: his Life, Times, and Cult, Woodbridge, Suffolk, UK; Rochester, NY: Boydell Press, 1992. Sayles, G. O., The Medieval Foundations of England (1948; 2d ed. 1950). William of Malmesbury, Vita sancti Dunstani, ed. and tr. Bernard J. Muir and Andrew J. Turner, William of Malmesbury. Lives of SS. Wulfstan, Dunstan, Patrick, Benignus and Indract. Oxford Medieval Texts. Oxford, 2002; ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 250–324. John Capgrave, Vita sancti Dunstani, ed. W. Stubbs, Memorials of St Dunstan, Archbishop of Canterbury. Rolls Series. London, 1874. 325–53. External links The True Legend of St. Dunstan and the Devil by Edward G. Flight, illustrated by George Cruikshank, published in 1871, and available from Project Gutenberg Dunstan at the British Library, BL medieval manuscripts blogpost, May 2016 900s births 988 deaths 10th-century English archbishops 10th-century artists 10th-century Christian saints 10th-century English bishops Abbots of Glastonbury Angelic visionaries Anglo-Saxon artists Anglo-Saxon Benedictines Archbishops of Canterbury Bishops of London Bishops of Worcester English blacksmiths English folklore Manuscript illuminators Medieval European scribes People from Mendip District Anglo-Saxon saints Anglican saints
9033
https://en.wikipedia.org/wiki/Dictatorship
Dictatorship
A dictatorship is a form of government characterized by a single leader (dictator) or group of leaders that hold government power promised to the people and little or no toleration for political pluralism or independent media. In most dictatorships, the country's constitution promises its citizens inalienable rights and fair elections. As democracy is a form of government in which "those who govern are selected through periodically contested elections (in years)", dictatorships are not democracies. With the advent of the 19th and 20th centuries, dictatorships and constitutional democracies emerged as the world's two major forms of government, gradually eliminating monarchies with significant political power, the most widespread form of government in the pre-industrial era. Typically, in a dictatorial regime, the leader of the country is identified with the title of dictator; although, their formal title may more closely resemble something similar to leader. A common aspect that characterized dictatorship is taking advantage of their strong personality, usually by suppressing freedom of thought and speech of the masses, in order to maintain complete political and social supremacy and stability. Dictatorships and totalitarian societies generally employ political propaganda to decrease the influence of proponents of alternative governing systems. Etymology The word dictator comes from the Latin language word dictātor, agent noun from dictare (dictāt-, past participial stem of dictāre dictate v. + -or -or suffix). In Latin use, a dictator was a judge in the Roman Republic temporarily invested with absolute power. Types A dictatorship is largely defined as a form of government in which absolute power is concentrated in the hands of a leader (commonly identified as a dictator), a "small clique", or a "government organization", and it aims to abolish political pluralism and civilian mobilization. On the other hand, democracy, which is generally compared to the concept of dictatorship, is defined as a form of government in which power belongs to the population and rulers are elected through contested elections. A newer form of government (originating around the early 20th century) commonly linked to the concept of dictatorship is known as totalitarianism. It is characterized by the presence of a single political party and more specifically, by a powerful leader (a real role model) who imposes his personal and political prominence. The two fundamental aspects that contribute to the maintenance of the power are a steadfast collaboration between the government and the police force, and a highly developed ideology. The government has "total control of mass communications and social and economic organizations". According to Hannah Arendt, totalitarianism is a new and extreme form of dictatorship composed of "atomized, isolated individuals". In addition, she affirmed that ideology plays a leading role in defining how the entire society should be organized. According to the political scientist Juan Linz, the distinction between an authoritarian regime and a totalitarian one is that while an authoritarian regime seeks to suffocate politics and political mobilization, but totalitarianism seeks to control politics and political mobilization. However, one of the most recent classifications of dictatorships does not identify totalitarianism as a form of dictatorship. Barbara Geddes's study focuses in how elite-leader and elite-mass relations influence authoritarian politics. Her typology identifies the key institutions that structure elite politics in dictatorships (i.e. parties and militaries). The study is based on and directly related to some factors like the simplicity of the categorizations, cross-national applicability, the emphasis on elites and leaders, and the incorporation of institutions (parties and militaries) as central to shaping politics. According to her, a dictatorial government may be classified in five typologies: military dictatorships, single-party dictatorships, personalist dictatorships, monarchies, and hybrid dictatorships. Military dictatorships Military dictatorships are regimes in which a group of officers holds power, determines who will lead the country, and exercises influence over policy. High-level elites and a leader are the members of the military dictatorship. Military dictatorships are characterized by rule by a professionalized military as an institution. In military regimes, elites are referred to as junta members, who are typically senior officers (and often other high-level officers) in the military. During the 20th century, this type of dictatorship was imposed in several Latin American countries including: Chile by Augusto Pinochet. Argentina by Jorge Rafael Videla and other leaders. Uruguay by Juan María Bordaberry. Paraguay by Alfredo Stroessner. Bolivia by Hugo Banzer. Brazil by Humberto de Alencar Castelo Branco. Single-party dictatorships Single-party dictatorships are regimes in which one party dominates politics. In single-party dictatorships, a single party has access to political posts and control over policy. In single-party dictatorships, party elites are typically members of the ruling body of the party, sometimes called the central committee, politburo, or secretariat. Those groups of individuals control the selection of party officials and "organizes the distribution of benefits to supporters and mobilize citizens to vote and show support for party leaders". Current one-party states include China, Cuba, Eritrea, Laos, North Korea and Vietnam. The Sahrawi Arab Democratic Republic, which is not recognized by the UN, is also a one-party state. Personalist dictatorships Personalist dictatorships are regimes in which all power lies in the hands of a single individual. Personalist dictatorships differ from other forms of dictatorships in their access to key political positions, other fruits of office, and depend much more on the discretion of the personalist dictator. Personalist dictators may be members of the military or leaders of a political party. However, neither the military nor the party exercises power independently from the dictator. In personalist dictatorships, the elite corps are usually made up of close friends or family members of the dictator. These individuals are all typically handpicked to serve their posts by the dictator. As such, dictators favor loyalty over competence and in general distrust intelligentsia. Members of the winning coalition often do not possess professional political careers and are often ill-equipped to manage the tasks of the office bestowed on them. Without the dictator's blessing, they would never have acquired a position of power. Once ousted, chances are slim they will maintain their position. The dictator knows this and therefore uses such divide-and-rule tactics to keep their inner circle from coordinating actions against them. The result is that such regimes have no internal checks and balances, and are thus unrestrained when exerting repression on their people, making radical shifts in foreign policy, or even starting wars (with other countries.) According to a 2019 study, personalist dictatorships are more repressive than other forms of dictatorship. The shift in the power relation between the dictator and its inner circle has severe consequences for the behavior of such regimes as a whole. Many scholars have identified ways in which personalist regimes diverge from other regimes when it comes to their longevity, methods of breakdown, levels of corruption, and proneness to conflicts. The first characteristic that can be identified is their relative longevity. For instance, Mobutu Sese Seko ruled Zaire for 32 years, Rafael Trujillo the Dominican Republic for 31 years and the Somoza family stayed in power in Nicaragua for 42 years. Even when these are extreme examples, personalist regimes, when consolidated, tend to last longer. Barbara Geddes, calculating the lifespans of regimes between 1946 and 2000, found that while military regimes on average stay in power for 8.5 years, personalist regimes survive almost twice as long: on average 15 years. Single-party regimes, on the other hand, used to have a lifespan of nearly 24 years. Monarchies were not included in that research, but a similar study sets their average duration at 25.4 years. This may seem surprising since usually personalist regimes are considered among the most fragile because they do not possess effective institutions nor a significant support base in society. Studies on the probability of their breakdown found mixed results: Compared to other regime types they are most resistant to internal fragmentation, but more vulnerable to external shocks than single-party or military regimes. The second characteristic is how these regimes behave differently regarding growth rates. With the wrong leadership, some regimes squander their country's economic resources and bring growth to a virtual halt. Without any checks and balances to their rule, such dictators are domestically unopposed when it comes to unleashing repression, or even starting wars. Monarchic dictatorships Monarchic dictatorships are in regimes in which "a person of royal descent has inherited the position of head of state in accordance with accepted practice or constitution." Regimes are not considered dictatorships if the monarch's role is largely ceremonial, but absolute monarchies, such as Saudi Arabia, can be thought of as hereditary dictatorships. To be considered a dictatorship, political power must have been promised to the people but in reality, is exercised by the monarch for regimes, but since the power of the government was never promised to the people in the first place it is not a dictatorship but an authoritarian government. Elites in monarchies are typically members of the royal family. Hybrid dictatorships Hybrid dictatorships are regimes that blend qualities of personalist, single-party, and military dictatorships. The most common forms of hybrid dictatorships are personalist/single-party hybrids and personalist/military hybrids. Measuring dictatorships One of the tasks in political science is to measure and classify regimes as either dictatorships or democracies. US based Freedom House, Polity IV and Democracy-Dictatorship Index are three of the most used data series by political scientists. Generally, two research approaches exist: the minimalist approach, which focuses on whether a country has continued elections that are competitive, and the substantive approach, which expands the concept of democracy to include human rights, freedom of the press, and the rule of law. The Democracy-Dictatorship Index is seen as an example of the minimalist approach, whereas the Polity data series, is more substantive. History Between the two world wars, three types of dictatorships were generally described: constitutional, counterrevolutionary, and fascist. Since World War II, a broader range of dictatorships has been recognized, including Third World dictatorships, theocratic or religious dictatorships, and dynastic or family-based dictatorships. Dictators in the Roman Empire During the Republican phase of Ancient Rome, a Roman dictator was the special magistrate who held well defined powers, normally for six months at a time, usually in combination with a consulship. Roman dictators were allocated absolute power during times of emergency. In execution, their power was originally neither arbitrary nor unaccountable, being subject to law and requiring retrospective justification. There were no such dictatorships after the beginning of the 2nd century BC, and later dictators such as Sulla and the Roman emperors exercised power much more personally and arbitrarily. A concept that remained anathema to traditional Roman society, the institution was not carried forward into the Roman Empire. Shoguns in Japan Shogun was the title of the military dictators of Japan during most of the period spanning from 1185 to 1868. Nominally appointed by the Emperor, shoguns were usually the de facto rulers of the country, though during part of the Kamakura period shoguns were themselves figureheads. The office of shogun was in practice hereditary, though over the course of the history of Japan several different clans held the position. Shogun is the short form of , a high military title from the early Heian period in the 8th and 9th centuries; when Minamoto no Yoritomo gained political ascendency over Japan in 1185, the title was revived to regularize his position, making him the first shogun in the usually understood sense. 19th-century Latin American caudillos After the collapse of Spanish colonial rule, various dictators came to power in many liberated countries. Often leading a private army, these caudillos or self-appointed political-military leaders, attacked weak national governments once they controlled a region's political and economic powers, with examples such as Antonio López de Santa Anna in Mexico and Juan Manuel de Rosas in Argentina. Such dictatorships have been also referred to as "personalismos". The wave of military dictatorships in South America in the second half of the twentieth century left a particular mark on Latin American culture. In Latin American literature, the dictator novel challenging dictatorship and caudillismo is a significant genre. There are also many films depicting Latin American military dictatorships. Right-wing dictatorships of the 20th century In the first half of the 20th century, right-wing dictatorships emerged in a variety of European countries at the same time as the rise of communism, which are distinct from dictatorships in Latin America and postcolonial dictatorships in Africa and Asia. Examples of right-wing dictatorship include: Nazi Germany under Adolf Hitler. The Empire of Japan under Hideki Tojo and others. Prathet Thai under Plaek Phibunsongkhram. Fascist Italy under Benito Mussolini. Austrofascist Austria under Engelbert Dollfuss and his successor Kurt Schuschnigg. The Protectorate of Bohemia and Moravia under Emil Hácha. The Slovak Republic under Jozef Tiso. Spain under Francisco Franco. Portugal under António de Oliveira Salazar. South Korea under Park Chung-hee. France under Philippe Pétain. Romania under Ion Antonescu. Hungary under Miklós Horthy. Greece under Ioannis Metaxas. Croatia under Ustashe and Ante Pavelić. Indonesia under Suharto. Latin American dictatorships of the 20th century Dictatorships established by Operation Condor During the Cold War, several overthrows of socialist governments in South America were financed and supported by the United States' Central Intelligence Agency. However, the United States had previously made attempts to repress the communists via the "National Security Doctrine" that the United States imposed in the 1950s to indoctrinate the soldiers of countries led by them to confront the alleged "communist threat". Paraguay under Alfredo Stroessner assumed power in the 1954 coup against President Federico Chávez, which then followed by the Brazilian military dictatorship which seized power in 1964 coup and deposed President João Goulart. In 1973, the Chilean military dictatorship under Augusto Pinochet seized power after a coup d'état that ended the three-year presidency and ultimately the life of socialist president Salvador Allende. On the same year the Uruguayan civic-military dictatorship seized power from President Juan María Bordaberry. Three years later, the Argentine military junta under Jorge Videla and later Leopoldo Galtieri deposed President Isabel Perón. In 1971, Bolivian general Hugo Banzer deposed socialist president Juan José Torres, who would later be assassinated in Videla's Argentina. Banzer would democratically return to office in 1997. The Peruvian Military Junta in 1968 grabbed power from President Fernando Belaúnde Terry and replaced him with General Juan Velasco Alvarado before he himself was deposed by General Francisco Morales-Bermúdez. Other dictatorships In 1931, a coup was organized against the government of Arturo Araujo, starting the period known as Military Dictatorship of El Salvador from Civic Directory. The government committed several crimes against humanity, such as La Matanza ( The Massacre in English), a peasant uprising in which the military murdered between 10,000 and 40,000 peasants and civilians, the dictatorship ended in 1979. From 1942 to 1952 Rafael Leónidas Trujillo ruled the Dominican Republic, repressing the Communists and their opponents. Trujillo ordered the assassination of Rómulo Betancourt, who was the founder of Democratic Action, but before he found out about this ambush, Trujillo's plan ended in failure. In October 1937 the Parsley massacre took place in which the main objective was to assassinate immigrants Hatians residing in Dominican Republic, it is estimated that the dead during the massacre were 12,168 dead, by the president Haitian Élie Lescot, 12,136 dead and 2419 injured by Jean Price-Mars, 17,000 dead by Joaquin Balaguer and 35,000 killed by Bernardo Vega. The dictatorship ended when Trujillo was assassinated in 1961 in the city of Santo Domingo. On November 24, 1948 Venezuelan armed forces took power based on a coup d'état, overthrowing the government of Rómulo Gallegos, who was a president of center left. Subsequently, a board composed of 3 generals was organized, one of them was Marcos Pérez Jiménez, who later became dictator of Venezuela. The dictatorship repressed the Democratic Action and the Communist Party of Venezuela, both from left. Pedro Estrada led the DSN, which was a military organization Venezuelan that repressed opponents and protesters. Among the cases of crimes against humanity are the death of the Democratic Action politician, Antonio Pinto Salinas who was assassinated while trying to flee from Venezuela. In 1958 an attempt was organized to overthrow Pérez Jiménez, faced with political pressure Jiménez had to get rid of many of his allies such as Pedro Estrada. That same year, a movement of civilians and military men joined forces to force Marcos Pérez Jiménez and his most loyal ministers to leave the country. The dictatorship ended when Marcos Pérez Jiménez was exiled from the country, the civilians were To celebrate in the street, the political prisoners were released and the exiles returned to the country, the Venezuelans once again elected Rómulo Betancourt, who had already been president years ago. However, he continued to use the political and economic system of the Jiménez dictatorship. Although a large part of the Latin American dictatorships were from the political right wing, the Soviet Union supported socialist states in Latin America as well. Cuba under Fidel Castro was a great example of such state. Castro's government was established after the Cuban Revolution, that overthrew the administration of dictator Fulgencio Batista in 1959, turning it into the first Socialist State of the Western Hemisphere. In 2008 Castro left power and was replaced by his brother, Raúl. In 1972, Guillermo Rodriguez Lara established a dictatorial government in Ecuador, and called his government the "Nationalist Revolution". In 1973, the country entered OPEC. The government also imposed agrarian reforms in practice. Rodriguez Lara's regime was replaced in 1976 by another military junta led by Alfredo Poveda, whose own rule ended in 1979 and was followed by a democratically elected government. Dictatorships in Africa and Asia after World War II After World War II, dictators established themselves in the several new states of Africa and Asia, often at the expense or failure of the constitutions inherited from the colonial powers. These constitutions often failed to work without a strong middle class or work against the preexisting autocratic rule. Some elected presidents and prime ministers captured power by suppressing the opposition and installing one-party rule and others established military dictatorships through their armies. Whatever their form, these dictatorships had an adverse impact on economic growth and the quality of political institutions. Dictators who stayed in office for a long period of time found it increasingly difficult to carry out sound economic policies. The often-cited exploitative dictatorship is the regime of Mobutu Sese Seko, who ruled Zaire from 1965 to 1997, embezzling over $5 billion from his country. Pakistan is another country to have been governed by 3 military dictators for almost 32 years in 7 decades of its existence. Starting with General Muhammad Ayub Khan who ruled from 1958 to 1969. Next was General Zia-ul-Haq who usurped power in 1977 and held on to power the longest until he died in an air crash in 1988. Ten years after Zia, General Pervez Musharraf got control after defeat against India in the Kargil war. He remained in power for 9 years until 2008. Suharto of Indonesia is another prime example, having embezzled $15-35 billion during his 31-year dictatorship known as the New Order. In the Philippines, the conjugal dictatorship of Ferdinand Marcos and Imelda Marcos embezzled billions of dollars in public funds, while the nation's foreign debt skyrocketed from $599 million in 1966 to $26.7 billion in 1986, with debt payment being reachable only by 2025. The Marcos dictatorship has been noted for its anti-Muslim killings, political repression, censorship, and human rights violations, including various methods of torture. Democratization The global dynamics of democratization has been a central question for political scientists. The Third Wave Democracy was said to turn some dictatorships into democracies (see also the contrast between the two figures of the Democracy-Dictatorship Index in 1988 and 2008). One of the rationales that the Bush Administration employed periodically during the run-up to the 2003 invasion of Iraq is that deposing Saddam Hussein and installing a democratic government in Iraq would promote democracy in other Middle Eastern countries. However, according to The Huffington Post, "The 45 nations and territories with little or no democratic rule represent more than half of the roughly 80 countries now hosting U.S. bases. ... Research by political scientist Kent Calder confirms what's come to be known as the "dictatorship hypothesis": The United States tends to support dictators [and other undemocratic regimes] in nations where it enjoys basing facilities." Theories of dictatorship Mancur Olson suggests that the emergence of dictatorships can be linked to the concept of "roving bandits", individuals in an atomic system who move from place to place extracting wealth from individuals. These bandits provide a disincentive for investment and production. Olson states that a community of individuals would be served less badly if that bandit were to establish himself as a stationary bandit to monopolize theft in the form of taxes. Except from the community, the bandits themselves will be better served, according to Olson, by transforming themselves into "stationary bandits". By settling down and making themselves the rulers of a territory, they will be able to make more profits through taxes than they used to obtain through plunder. By maintaining order and providing unsolicited protection to the community, the bandits will create an environment in which people can increase their surplus which means a greater taxable base. Thus a potential dictator will have a greater incentive to provide an illusion of security to a given community from which he is extracting taxes and conversely, the unthinking part of the people from whom he extracts the taxes are more likely to produce because they will be unconcerned with potential theft by other bandits. This is the rationale that bandits use in order to explain their transformation from "roving bandits" into "stationary bandits". See also Absolute monarchy Autocracy Authoritarianism Benevolent dictatorship Civil-military dictatorship Constitutional dictatorship European interwar dictatorships Stalinism Maoism Juche Dictatorship of the bourgeoisie Dictatorship of the proletariat Despotism Elective dictatorship Family dictatorship How Democracies Die Military dictatorship Generalissimo List of titles used by dictators Maximum Leader Mobutism Nazism Fascism People's democratic dictatorship Right-wing dictatorship Selectorate theory Strongman Supreme leader Theocracy References Further reading Behrends, Jan C. Dictatorship: Modern Tyranny Between Leviathan and Behemoth, in Docupedia Zeitgeschichte, 14 March 2017 Dikötter, Frank. How to Be a Dictator: The Cult of Personality in the Twentieth Century (2019) scholarly analysis of eight despots: Mussolini, Hitler, Stalin and Mao, as well as Kim Il-sung of North Korea; François Duvalier, or Papa Doc, of Haiti; Nicolae Ceaușescu of Romania; and Mengistu Haile Mariam of Ethiopia. online review; also excerpt Finchelstein, Federico. The ideological origins of the dirty war: Fascism, populism, and dictatorship in twentieth century Argentina (Oxford UP, 2017). Fraenkel, Ernst, and Jens Meierhenrich. The dual state: A contribution to the theory of dictatorship. (Oxford UP, 2018). Ridenti, Marcelo. "The Debate over Military (or Civilian‐Military?) Dictatorship in Brazil in Historiographical Context." Bulletin of Latin American Research 37.1 (2018): 33–42. Ringen, Stein. The perfect dictatorship: China in the 21st century (Hong Kong UP, 2016). Ward, Christoper Edward, ed. The Stalinist Dictatorship (Routledge, 2018). Authoritarianism Oligarchy
9055
https://en.wikipedia.org/wiki/Derry
Derry
Derry, officially Londonderry (), is the second-largest city in Northern Ireland and the fifth-largest city on the island of Ireland. The name Derry is an anglicisation of the Old Irish name (modern Irish: ) meaning "oak grove". The old walled city lies on the west bank of the River Foyle, which is spanned by two road bridges and one footbridge. The city now covers both banks (Cityside on the west and Waterside on the east). The population of the city was 83,652 at the 2001 Census, while the Derry Urban Area had a population of 90,736. The district administered by Derry City and Strabane District Council contains both Londonderry Port and City of Derry Airport. Derry is close to the border with County Donegal, with which it has had a close link for many centuries. The person traditionally seen as the founder of the original Derry is Saint , a holy man from , the old name for almost all of modern County Donegal, of which the west bank of the Foyle was a part before 1610. In 2013, Derry was the inaugural UK City of Culture, having been awarded the title in 2010. Name Despite the official name, the city is more usually known as Derry, which is an anglicisation of the Irish or , and translates as 'oak-grove/oak-wood'. The name derives from the settlement's earliest references, ('oak-grove of Calgach'). The name was changed from Derry in 1613 during the Plantation of Ulster to reflect the establishment of the city by the London guilds. Derry has been used in the names of the local government district and council since 1984, when the council changed its name from Londonderry City Council to Derry City Council. This also changed the name of the district, which had been created in 1973 and included both the city and surrounding rural areas. In the 2015 local government reform, the district was merged with the Strabane district to form the Derry City and Strabane district, with the councils likewise merged. According to the city's Royal Charter of 10 April 1662, the official name is Londonderry. This was reaffirmed in a High Court decision in 2007. The 2007 court case arose because Derry City Council wanted clarification on whether the 1984 name change of the council and district had changed the official name of the city and what the procedure would be to effect a name change. The court clarified that Londonderry remained the official name and that the correct procedure to change the name would be via a petition to the Privy Council. Derry City Council afterward began this process, and was involved in conducting an equality impact assessment report (EQIA). Firstly it held an opinion poll of district residents in 2009, which reported that 75% of Catholics and 77% of Nationalists found the proposed change acceptable, compared to 6% of Protestants and 8% of Unionists. The EQIA then held two consultative forums, and solicited comments from the general public on whether or not the city should have its name changed to Derry. A total of 12,136 comments were received, of which 3,108 were broadly in favour of the proposal, and 9,028 opposed to it. On 23 July 2015, the council voted in favour of a motion to change the official name of the city to Derry and to write to Mark H. Durkan, the Northern Irish Minister for the Environment, to ask how the change could be effected. The name Derry is preferred by nationalists and it is broadly used throughout Northern Ireland's Catholic community, as well as that of the Republic of Ireland, whereas many unionists prefer Londonderry; however, in everyday conversation Derry is used by most Protestant residents of the city. Linguist Kevin McCafferty argues that "It is not, strictly speaking, correct that Northern Ireland Catholics call it Derry, while Protestants use the Londonderry form, although this pattern has become more common locally since the mid-1980s, when the city council changed its name by dropping the prefix". In McCafferty's survey of language use in the city, "only very few interviewees—all Protestants—use the official form". Apart from the name of the local council, the city is usually known as Londonderry in official use within the UK. In the Republic of Ireland, the city and county are almost always referred to as Derry, on maps, in the media and in conversation. In April 2009, however, the Republic of Ireland's Minister for Foreign Affairs, Micheál Martin, announced that Irish passport holders who were born there could record either Derry or Londonderry as their place of birth. Whereas official road signs in the Republic use the name Derry, those in Northern Ireland bear Londonderry (sometimes abbreviated to L'derry), although some of these have been defaced with the reference to London obscured. Usage varies among local organisations, with both names being used. Examples are City of Derry Airport, City of Derry Rugby Club, Derry City FC and the Protestant Apprentice Boys of Derry, as opposed to Londonderry Port, Londonderry YMCA Rugby Club and Londonderry Chamber of Commerce. The bishopric has always remained that of Derry, both in the (Protestant, formerly-established) Church of Ireland (now combined with the bishopric of Raphoe), and in the Roman Catholic Church. Most companies within the city choose local area names such as Pennyburn, Rosemount or Foyle from the River Foyle to avoid alienating the other community. Londonderry railway station is often referred to as Waterside railway station within the city, but is called Derry/Londonderry at other stations. The council changed the name of the local government district covering the city to Derry on 7 May 1984, consequently renaming itself Derry City Council. This did not change the name of the city, although the city is coterminous with the district, and in law the city council is also the Corporation of Londonderry or, more formally, the Mayor, Aldermen and Citizens of the City of Londonderry. The form Londonderry is used for the post town by the Royal Mail; however, use of Derry will still ensure delivery. The city is also nicknamed 'the Maiden City' by virtue of the fact that its walls were never breached despite being besieged on three separate occasions in the 17th century, the most notable being the Siege of Derry of 1688–1689. It was also nicknamed Stroke City by local broadcaster Gerry Anderson, owing to the politically correct use by some of the dual name Derry/Londonderry (which has itself been used by BBC Television). A later addition to the landscape has been the erection of several large stone columns on main roads into the city welcoming drivers, euphemistically, to 'the Walled City'. The name Derry is very much in popular use throughout Ireland for the naming of places, and there are at least six towns bearing that name and at least a further 79 places. The word Derry often forms part of the place name, for example Derrybeg, Derryboy, Derrylea and Derrymore. The names Derry and Londonderry spread from Ireland to the other colonies of the British Empire, frequently named by Scotch-Irish settlers. Londonderry, Yorkshire, near the Yorkshire Dales, was named for the Marquesses of Londonderry, as are the Londonderry Islands off Tierra del Fuego in Chile. In the United States twin towns in New Hampshire called Derry and Londonderry lie not far from Londonderry, Vermont, with additional namesakes in Derry, Pennsylvania, Londonderry, Ohio, and in Canada Londonderry, Nova Scotia and Londonderry, Edmonton, Alberta. There is also Londonderry, New South Wales and the associated Londonderry electorate. City walls Derry is the only remaining completely intact walled city in Ireland, and one of the finest examples of a walled city in Europe. The walls constitute the largest monument in State care in Northern Ireland and, as part of the last walled city to be built in Europe, stand as the most complete and spectacular. The Walls were built in 1613–1619 by The Honourable The Irish Society as defences for early 17th century settlers from England and Scotland. The Walls, which are approximately in circumference and which vary in height and width between , are completely intact and form a walkway around the inner city. They provide a unique promenade to view the layout of the original town which still preserves its Renaissance style street plan. The four original gates to the Walled City are Bishop's Gate, Ferryquay Gate, Butcher Gate and Shipquay Gate. Three further gates were added later, Magazine Gate, Castle Gate and New Gate, making seven gates in total. It is one of the few cities in Europe that never saw its fortifications breached, withstanding several sieges, including the famous Siege of Derry in 1689 which lasted 105 days; hence the city's nickname, The Maiden City. History Early history Derry is one of the oldest continuously inhabited places in Ireland. The earliest historical references date to the 6th century when a monastery was founded there by St Columba or Colmcille, a famous saint from what is now County Donegal, but for thousands of years before that people had been living in the vicinity. Before leaving Ireland to spread Christianity elsewhere, Colmcille founded a monastery at Derry (which was then called Doire Calgach), on the west bank of the Foyle. According to oral and documented history, the site was granted to Colmcille by a local king. The monastery then remained in the hands of the federation of Columban churches who regarded Colmcille as their spiritual mentor. The year 546 is often referred to as the date that the original settlement was founded. However, it is now accepted by historians that this was an erroneous date assigned by medieval chroniclers. It is accepted that between the 6th century and the 11th century, Derry was known primarily as a monastic settlement. The town became strategically more significant during the Tudor conquest of Ireland and came under frequent attack. During O'Doherty's Rebellion in 1608 it was attacked by Sir Cahir O'Doherty, Irish chieftain of Inishowen, who burnt much of the town and killed the governor George Paulet. The soldier and statesman Sir Henry Docwra made vigorous efforts to develop the town, earning the reputation of being " the founder of Derry"; but he was accused of failing to prevent the O'Doherty attack, and returned to England. Plantation What became the City of Derry was part of the relatively new County Donegal up until 1610. In that year, the west bank of the future city was transferred by the English Crown to The Honourable The Irish Society and was combined with County Coleraine, part of County Antrim and a large portion of County Tyrone to form County Londonderry. Planters organised by London livery companies through The Honourable The Irish Society arrived in the 17th century as part of the Plantation of Ulster, and rebuilt the town with high walls to defend it from Irish insurgents who opposed the plantation. The aim was to settle Ulster with a population supportive of the Crown. It was then renamed "Londonderry". This city was the first planned city in Ireland: it was begun in 1613, with the walls being completed in 1619, at a cost of £10,757. The central diamond within a walled city with four gates was thought to be a good design for defence. The grid pattern chosen was subsequently much copied in the colonies of British North America. The charter initially defined the city as extending three Irish miles (about 6.1 km) from the centre. The modern city preserves the 17th century layout of four main streets radiating from a central Diamond to four gateways  – Bishop's Gate, Ferryquay Gate, Shipquay Gate and Butcher's Gate. The city's oldest surviving building was also constructed at this time: the 1633 Plantation Gothic cathedral of St Columb. In the porch of the cathedral is a stone that records completion with the inscription: "If stones could speake, then London's prayse should sound, Who built this church and cittie from the grounde." 17th-century upheavals During the 1640s, the city suffered in the Wars of the Three Kingdoms, which began with the Irish Rebellion of 1641, when the Gaelic Irish insurgents made a failed attack on the city. In 1649 the city and its garrison, which supported the republican Parliament in London, were besieged by Scottish Presbyterian forces loyal to King Charles I. The Parliamentarians besieged in Derry were relieved by a strange alliance of Roundhead troops under George Monck and the Irish Catholic general Owen Roe O'Neill. These temporary allies were soon fighting each other again however, after the landing in Ireland of the New Model Army in 1649. The war in Ulster was finally brought to an end when the Parliamentarians crushed the Irish Catholic Ulster army at the Battle of Scarrifholis, near Letterkenny in nearby County Donegal, in 1650. During the Glorious Revolution, only Derry and nearby Enniskillen had a Protestant garrison by November 1688. An army of around 1,200 men, mostly "Redshanks" (Highlanders), under Alexander Macdonnell, 3rd Earl of Antrim, was slowly organised (they set out on the week William of Orange landed in England). When they arrived on 7 December 1688 the gates were closed against them and the Siege of Derry began. In April 1689, King James came to the city and summoned it to surrender. The King was rebuffed and the siege lasted until the end of July with the arrival of a relief ship. 18th and 19th centuries The city was rebuilt in the 18th century with many of its fine Georgian style houses still surviving. The city's first bridge across the River Foyle was built in 1790. During the 18th and 19th centuries the port became an important embarkation point for Irish emigrants setting out for North America. Also during the 19th century, it became a destination for migrants fleeing areas more severely affected by the Great Famine. One of the most notable shipping lines was the McCorkell Line operated by Wm. McCorkell & Co. Ltd. from 1778. The McCorkell's most famous ship was the Minnehaha, which was known as the "Green Yacht from Derry". Early 20th century World War I During World War I the city contributed over 5,000 men to the British Army from Catholic and Protestant families. Partition During the Irish War of Independence, the area was rocked by sectarian violence, partly prompted by the guerilla war raging between the Irish Republican Army and British forces, but also influenced by economic and social pressures. By mid-1920 there was severe sectarian rioting in the city. Many lives were lost and in addition many Catholics and Protestants were expelled from their homes during this communal unrest. After a week's violence, a truce was negotiated by local politicians on both unionist and republican sides. In 1921, following the Anglo-Irish Treaty and the Partition of Ireland, it unexpectedly became a 'border city', separated from much of its traditional economic hinterland in County Donegal. World War II During World War II, the city played an important part in the Battle of the Atlantic. Ships from the Royal Navy, the Royal Canadian Navy, and other Allied navies were stationed in the city and the United States military established a base. Over 20,000 Royal Navy, 10,000 Royal Canadian Navy, and 6,000 United States Navy personnel were stationed in the city during the war. The establishment of the American presence in the city was the result of a secret agreement between the Americans and the British before the Americans entered the war. It was the first American naval base in Europe and the terminal for American convoys en route to Europe. The reason for such a high degree of military and naval activity was self-evident: Derry was the United Kingdom's westernmost port; indeed, the city was the westernmost Allied port in Europe: thus, Derry was a crucial jumping-off point, together with Glasgow and Liverpool, for the shipping convoys that ran between Europe and North America. The large numbers of military personnel in Derry substantially altered the character of the city, bringing in some outside colour to the local area, as well as some cosmopolitan and economic buoyancy during these years. Several airfields were built in the outlying regions of the city at this time, Maydown, Eglinton and Ballykelly. RAF Eglinton went on to become City of Derry Airport. The city contributed significant number of men to the war effort throughout the services, most notably the 500 men in the 9th (Londonderry) Heavy Anti-Aircraft Regiment, known as the 'Derry Boys'. This regiment served in North Africa, the Sudan, Italy and mainland UK. Many others served in the Merchant Navy taking part in the convoys that supplied the UK and Russia during the war. The border location of the city, and influx of trade from the military convoys allowed for significant smuggling operations to develop in the city. At the conclusion of the Second World War, eventually some 60 U-boats of the German Kriegsmarine ended in the city's harbour at Lisahally after their surrender. The initial surrender was attended by Admiral Sir Max Horton, Commander-in-Chief of the Western Approaches, and Sir Basil Brooke, third Prime Minister of Northern Ireland. Late 20th century 1950s and 1960s The city languished after the second world war, with unemployment and development stagnating. A large campaign, led by the University for Derry Committee, to have Northern Ireland's second university located in the city, ended in failure. The Civil Rights Movement Derry was a focal point for the nascent civil rights movement in Northern Ireland. Catholics were discriminated against under Unionist government in Northern Ireland, both politically and economically. In the late 1960s the city became the flashpoint of disputes about institutional gerrymandering. Political scientist John Whyte explains that: All the accusations of gerrymandering, practically all the complaints about housing and regional policy, and a disproportionate amount of the charges about public and private employment come from this area. The area – which consisted of Counties Tyrone and Fermanagh, Londonderry County Borough, and portions of Counties Londonderry and Armagh – had less than a quarter of the total population of Northern Ireland yet generated not far short of three-quarters of the complaints of discrimination...The unionist government must bear its share of responsibility. It put through the original gerrymander which underpinned so many of the subsequent malpractices, and then, despite repeated protests, did nothing to stop those malpractices continuing. The most serious charge against the Northern Ireland government is not that it was directly responsible for widespread discrimination, but that it allowed discrimination on such a scale over a substantial segment of Northern Ireland. A civil rights demonstration in 1968 led by the Northern Ireland Civil Rights Association was banned by the Government and blocked using force by the Royal Ulster Constabulary. The events that followed the August 1969 Apprentice Boys parade resulted in the Battle of the Bogside, when Catholic rioters fought the police, leading to widespread civil disorder in Northern Ireland and is often dated as the starting point of the Troubles. On Sunday 30 January 1972, 13 unarmed civilians were shot dead by British paratroopers during a civil rights march in the Bogside area. Another 13 were wounded and one further man later died of his wounds. This event came to be known as Bloody Sunday. The Troubles The conflict which became known as the Troubles is widely regarded as having started in Derry with the Battle of the Bogside. The Civil Rights Movement had also been very active in the city. In the early 1970s the city was heavily militarised and there was widespread civil unrest. Several districts in the city constructed barricades to control access and prevent the forces of the state from entering. Violence eased towards the end of the Troubles in the late 1980s and early 1990s. Irish journalist Ed Maloney claims in The Secret History of the IRA that republican leaders there negotiated a de facto ceasefire in the city as early as 1991. Whether this is true or not, the city did see less bloodshed by this time than Belfast or other localities. The city was visited by a killer whale in November 1977 at the height of the Troubles; it was dubbed Dopey Dick by the thousands who came from miles around to see him. Governance From 1613 the city was governed by the Londonderry Corporation. In 1898 this became Londonderry County Borough Council, until 1969 when administration passed to the unelected Londonderry Development Commission. In 1973 a new district council with boundaries extending to the rural south-west was established under the name Londonderry City Council, renamed in 1984 to Derry City Council, consisting of five electoral areas: Cityside, Northland, Rural, Shantallow and Waterside. The council of 30 members was re-elected every four years. As of the 2011 election, 14 Social Democratic and Labour Party (SDLP) members, ten Sinn Féin, five Democratic Unionist Party (DUP), and one Ulster Unionist Party (UUP) made up the council. The mayor and deputy mayor were elected annually by councillors. The local authority boundaries corresponded to the Foyle constituency of the Parliament of the United Kingdom and the Foyle constituency of the Northern Ireland Assembly. In European Parliament elections, it was part of the Northern Ireland constituency. The council merged with Strabane District Council in April 2015 under local government reorganisation to become Derry and Strabane District Council. The councillors elected in 2019 for the city are: Coat of arms and motto The devices on the city's arms are a skeleton and a three-towered castle on a black field, with the "chief" or top third of the shield showing the arms of the City of London: a red cross and sword on white. In the centre of the cross is a gold harp. In unofficial use the harp sometimes appears above the arms as a crest. The arms were confirmed by Daniel Molyneux, the Ulster King of Arms, in 1613, following the town's incorporation. Molyneux's notes state that the original arms of Derry were "the picture of death (or a skeleton) sitting on a mossie ston and in the dexter point a castle". To this design he added, at the request of the new mayor, "a chief, the armes of London". Molyneux goes on to state that the skeleton is symbolic of Derry's ruin at the hands of the Irish rebel Cahir O'Doherty, and that the silver castle represents its renewal through the efforts of the London guilds: "[Derry] hath since bene (as it were) raysed from the dead by the worthy undertakinge of the Ho'ble Cittie of London, in memorie whereof it is hence forth called and knowen by the name of London Derrie." Local legend offers different theories as to the origin of the skeleton. One identifies it as Walter de Burgh, who was starved to death in the Earl of Ulster's dungeons in 1332. Another identifies it as Cahir O'Doherty himself, who was killed in a skirmish near Kilmacrennan in 1608 (but was popularly believed to have wasted away while sequestered in his castle at Buncrana). In the days of gerrymandering and anti-Catholic discrimination, Derry's Catholics often claimed in dark wit that the skeleton was a Catholic waiting for a job and a council house. However, a report commissioned by the city council in 1979 established that there was no basis for any of the popular theories, and that the skeleton "[is] purely symbolic and does not refer to any identifiable person". The 1613 arms depicted a harp in the centre of the cross, but this was omitted from later depictions of the city arms, and in the 1952 letters patent confirming the arms to the Londonderry Corporation. In 2002 Derry City Council applied to the College of Arms to have the harp restored, and Garter and Norroy & Ulster Kings of Arms issued letters patent to that effect in 2003, having accepted the 17th century evidence. The motto attached to the coat of arms reads in Latin, "Vita, Veritas, Victoria". This translates into English as "Life, Truth, Victory". Geography Derry is characterised by its distinctively hilly topography. The River Foyle forms a deep valley as it flows through the city, making Derry a place of very steep streets and sudden, startling views. The original walled city of Londonderry lies on a hill on the west bank of the River Foyle. In the past, the river branched and enclosed this wooded hill as an island; over the centuries, however, the western branch of the river dried up and became a low-lying and boggy district that is now called the Bogside. Today, modern Derry extends considerably north and west of the city walls and east of the river. The half of the city the west of the Foyle is known as the Cityside and the area east is called the Waterside. The Cityside and Waterside are connected by the Craigavon Bridge and Foyle Bridge, and by a foot bridge in the centre of the city called Peace Bridge. The district also extends into rural areas to the southeast of the city. This much larger city, however, remains characterised by the often extremely steep hills that form much of its terrain on both sides of the river. A notable exception to this lies on the north-eastern edge of the city, on the shores of Lough Foyle, where large expanses of sea and mudflats were reclaimed in the middle of the 19th century. Today, these sloblands are protected from the sea by miles of sea walls and dikes. The area is an internationally important bird sanctuary, ranked among the top 30 wetland sites in the UK. Other important nature reserves lie at Ness Country Park, east of Derry; and at Prehen Wood, within the city's south-eastern suburbs. Climate Derry has, like most of Ireland, a temperate maritime climate (Cfb) according to the Köppen climate classification system. The nearest official Met Office Weather Station for which climate data is available is Carmoney, just west of City of Derry Airport and about northeast of the city centre. However, observations ceased in 2004 and the nearest Weather Station is currently Ballykelly, due east-northeast. Typically, 27 nights of the year will report an air frost at Ballykelly, and at least 1 mm of precipitation will be reported on 170 days (1981–2010 averages). The lowest temperature recorded at Carmoney was on 27 December 1995. Demography Derry Urban Area (DUA), including the city and the neighbouring settlements of Culmore, Newbuildings and Strathfoyle, is classified as a city by the Northern Ireland Statistics and Research Agency (NISRA) since its population exceeds 75,000. On census day (27 March 2011) there were 105,066 people living in Derry Urban Area. Of these, 27% were aged under 16 years and 14% were aged 60 and over; 49% of the population were male and 51% were female; 75% were from a Roman Catholic background and 23% (up three per cent from 2001) were from a Protestant background. The mid-2006 population estimate for the wider Derry City Council area was 107,300. Population growth in 2005/06 was driven by natural change, with net out-migration of approximately 100 people. The city was one of the few in Ireland to experience an increase in population during the Great Famine as migrants came to it from other, more heavily affected areas. Protestant minority Concerns have been raised by both communities over the increasingly divided nature of the city. There were about 17,000 Protestants on the west bank of the River Foyle in 1971. The proportion rapidly declined during the 1970s; the 2011 census recorded 3,169 Protestants on the west bank, compared to 54,976 Catholics, and it is feared that the city could become permanently divided. However, concerted efforts have been made by local community, church and political leaders from both traditions to redress the problem. A conference to bring together key actors and promote tolerance was held in October 2006. Ken Good, the Church of Ireland Bishop of Derry and Raphoe, said he was happy living on the cityside. "I feel part of it. It is my city and I want to encourage other Protestants to feel exactly the same", he said. Support for Protestants in the district has been strong from the SDLP politician Helen Quigley, who formerly served as the Mayor of Derry. She made inclusion and tolerance key themes of her mayoralty. Cllr. Quigley said it was time for "everyone to take a stand to stop the scourge of sectarian and other assaults in the city." Economy History The economy of the district was based significantly on the textile industry until relatively recently. For many years women were commonly the sole wage earners working in the shirt factories while the men in comparison had high levels of unemployment. This led to significant male emigration. The history of shirt making in the city dates to 1831, said to have been started by William Scott and his family who first exported shirts to Glasgow. Within 50 years, shirt making in the city was the most prolific in the UK with garments being exported all over the world. It was known so well that the industry received a mention in Das Kapital by Karl Marx, when discussing the factory system: The industry reached its peak in the 1920s employing around 18,000 people. In modern times however the textile industry declined due largely to lower Asian wages. A long-term foreign employer in the area is Du Pont, which has been based at Maydown since 1958, its first European production facility. Originally Neoprene was manufactured at Maydown and subsequently followed by Hypalon. More recently Lycra and Kevlar production units were active. Thanks to a worldwide demand for Kevlar, which is made at the plant, the facility undertook a £40 million upgrade to expand its global Kevlar production. Inward investment In the last 15 years there has been a drive to increase inward investment in the city, more recently concentrating on digital industries. As of 2002, the three largest private-sector employers were American firms. Economic successes have included call centres and a large investment by Seagate, which has operated a factory in the Springtown Industrial Estate since 1993. As of 2019, Seagate was employing approximately 1,400 people in Derry, producing more than half of the company's total requirement for hard drive read-write heads. A controversial new employer in the area was Raytheon Systems Limited, a software division of the American defence contractor, which was set up in Derry in 1999. Although some of the local people welcomed the jobs boost, others in the area objected to the jobs being provided by a firm involved heavily in the arms trade. Following four years of protest by the Foyle Ethical Investment Campaign, in 2004 Derry City Council passed a motion declaring the district a "A 'No – Go' Area for the Arms Trade", and in 2006 its offices were briefly occupied by anti-war protestors who became known as the Raytheon 9. In 2009, the company announced that it was not renewing its lease when it expired in 2010 and was looking for a new location for its operations. Other significant multinational employers in the region include Firstsource of India, INVISTA, Stream International, Perfecseal, NTL, Northbrook Technology of the United States, Arntz Belting and Invision Software of Germany, and Homeloan Management of the UK. Major local business employers include Desmonds, Northern Ireland's largest privately owned company, manufacturing and sourcing garments, E&I Engineering, St. Brendan's Irish Cream Liqueur and McCambridge Duffy, one of the largest insolvency practices in the UK. Even though the city provides cheap labour by standards in Western Europe, critics have noted that the grants offered by the Northern Ireland Industrial Development Board have helped land jobs for the area that only last as long as the funding lasts. This was reflected in questions to the Parliamentary Under-Secretary of State for Northern Ireland, Richard Needham, in 1990. It was noted that it cost £30,000 to create one job in an American firm in Northern Ireland. Critics of investment decisions affecting the district often point to the decision to build a new university building in nearby (predominantly Protestant) Coleraine rather than developing the Ulster University Magee Campus. Another major government decision affecting the city was the decision to create the new town of Craigavon outside Belfast, which again was detrimental to the development of the city. Even in October 2005, there was perceived bias against the comparatively impoverished North West of the province, with a major civil service job contract going to Belfast. Mark Durkan, the Social Democratic and Labour Party (SDLP) leader and Member of Parliament (MP) for Foyle was quoted in the Belfast Telegraph as saying: In July 2005, the Irish Minister for Finance, Brian Cowen, called for a joint task force to drive economic growth in the cross border region. This would have implications for Counties Londonderry, Tyrone, and Donegal across the border. Shopping The city is the north west's foremost shopping district, housing two large shopping centres along with numerous shop packed streets serving much of the greater county, as well as Tyrone and Donegal. The city centre has two main shopping centres; the Foyleside Shopping Centre which has 45 stores and 1,430 parking spaces, and the Richmond Centre, which has 39 retail units. The Quayside Shopping Centre also serves the city-side and there is also Lisnagelvin Shopping Centre in the Waterside. These centres, as well as local-run businesses, feature numerous national and international stores. Crescent Link Retail Park, located in the Waterside, has several chain stores and has become the second largest retail park in Northern Ireland (second only to Sprucefield in Lisburn). Plans have also been approved for Derry's first Asda store, which will be located at the retail park sharing a unit with Homebase. Sainsbury's also applied for planning permission for a store at Crescent Link, but Environment Minister Alex Attwood turned it down. Until the store's closure in March 2016, the city was also home to the world's oldest independent department store, Austins. Established in 1830, Austins predates Jenners of Edinburgh by 5 years, Harrods of London by 15 years and Macy's of New York by 25 years. The store's five-story Edwardian building is located within the walled city in the area known as The Diamond. Landmarks Derry is renowned for its architecture. This can be primarily ascribed to the formal planning of the historic walled city of Derry at the core of the modern city. This is centred on the Diamond with a collection of late Georgian, Victorian and Edwardian buildings maintaining the gridlines of the main thoroughfares (Shipquay Street, Ferryquay Street, Butcher Street and Bishop Street) to the City Gates. St Columb's Cathedral does not follow the grid pattern reinforcing its civic status. This Church of Ireland Cathedral was the first post-Reformation Cathedral built for an Anglican church. The construction of the Roman Catholic St Eugene's Cathedral in the Bogside in the 19th-century was another major architectural addition to the city. The Townscape Heritage Initiative has funded restoration works to key listed buildings and other older structures. In the three centuries since their construction, the city walls have been adapted to meet the needs of a changing city. The best example of this adaptation is the insertion of three additional gates – Castle Gate, New Gate and Magazine Gate – into the walls in the course of the 19th century. Today, the fortifications form a continuous promenade around the city centre, complete with cannon, avenues of mature trees and views across Derry. Historic buildings within the city walls include St Augustine's Church, which sits on the city walls close to the site of the original monastic settlement; the copper-domed Austin's department store, which claims to the oldest such store in the world; and the imposing Greek Revival Courthouse on Bishop Street. The red-brick late-Victorian Guildhall, also crowned by a copper dome, stands just beyond Shipquay Gate and close to the river front. There are many museums and sites of interest in and around the city, including the Foyle Valley Railway Centre, the Amelia Earhart Centre And Wildlife Sanctuary, the Apprentice Boys Memorial Hall, Ballyoan Cemetery, The Bogside, numerous murals by the Bogside Artists, Derry Craft Village, Free Derry Corner, O'Doherty Tower (now home to part of the Tower Museum), the Harbour Museum, the Museum of Free Derry, Chapter House Museum, the Workhouse Museum, the Nerve Centre, St. Columb's Park and Leisure Centre, Creggan Country Park, Brooke Park, The Millennium Forum and the Foyle and Craigavon bridges. Attractions include museums, a vibrant shopping centre and trips to the Giant's Causeway, which is approximately away, though poorly connected by public transport. Lonely Planet called Derry the fourth best city in the world to see in 2013. On 25 June 2011, the Peace Bridge opened. It is a cycle and foot bridge that begins from the Guild Hall in the city centre of Derry City to Ebrington Square and St Columb's Park on the far side of the River Foyle. It symbolises the unity of the Protestant community and the Nationalist community who are settled on either sides of the Foyle River. "The Derry Peace Bridge has become an integral part of Derry City’s infrastructure and has changed the way local people use and view their city with over 3 million people having crossed it so far and many of the locals using it daily." Future projects include the Walled City Signature Project, which intends to ensure that the city's walls become a world class tourist experience. The Ilex Urban Regeneration Company is charged with delivering several landmark redevelopments. It has taken control of two former British Army barracks in the centre of the city. The Ebrington site is nearing completion and is linked to the city centre by the new Peace Bridge. Transport The transport network is built out of a complex array of old and modern roads and railways throughout the city and county. The city's road network also makes use of two bridges to cross the River Foyle, the Craigavon Bridge and the Foyle Bridge, the longest bridge in Ireland. Derry also serves as a major transport hub for travel throughout nearby County Donegal. In spite of it being the second city of Northern Ireland (and it being the second-largest city in all of Ulster), road and rail links to other cities are below par for its standing. Many business leaders claim that government investment in the city and infrastructure has been badly lacking. Some have stated that this is due to its outlying border location whilst others have cited a sectarian bias against the region west of the River Bann due to its high proportion of Catholics. There is no direct motorway link with Dublin or Belfast. The rail link to Belfast has been downgraded over the years so that, presently, it is not a viable alternative to the roads for industry to rely on. As of 2008, there were plans for £1 billion worth of transport infrastructure investment in and around the district. Planned upgrades to the A5 Dublin road agreed as part of the Good Friday Agreement and St. Andrews Talks fell through when the government of the Republic of Ireland reneged on its funding citing the post-2008 economic downturn. Buses Most public transport in Northern Ireland is operated by the subsidiaries of Translink. Originally the city's internal bus network was run by Ulsterbus, which still provides the city's connections with other towns in Northern Ireland. The city's buses are now run by Ulsterbus Foyle, just as Translink Metro now provides the bus service in Belfast. The Ulsterbus Foyle network offers 13 routes across the city into the suburban areas, excluding an Easibus link which connects to the Waterside and Drumahoe, and a free Rail Link Bus runs from the Waterside Railway Station to the city centre. All buses leave from the Foyle Street Bus Station in the city centre. Long-distance buses depart from Foyle Street Bus Station to destinations throughout Ireland. Buses are operated by both Ulsterbus and Bus Éireann on cross-border routes. Lough Swilly formerly operated buses to Co. Donegal, but the company entered liquidation and is no longer in operation. There is a half-hourly service to Belfast every day, called the Maiden City Flyer, which is the Goldline Express flagship route. There are hourly services to Strabane, Omagh, Coleraine, Letterkenny and Buncrana, and up to twelve services a day to bring people to Dublin. There is a daily service to Sligo, Galway, Shannon Airport and Limerick. Air City of Derry Airport, the council-owned airport near Eglinton, has grown during the early 21st century, with new investment in extending the runway and plans to redevelop the terminal. The A2 (a dual carriageway) from Maydown to Eglinton, serves the airport. City of Derry airport is the main regional airport for County Donegal, County Londonderry and west County Tyrone as well as Derry City itself. The airport is served by Loganair and Ryanair with scheduled flights to Glasgow Airport, Edinburgh Airport, Manchester Airport, Liverpool John Lennon Airport and London Stansted all year round with a summer schedule to Mallorca with TUI Airways Railways The city is served by a single rail link that is subsidised, alongside much of Northern Ireland's railways, by Northern Ireland Railways (N.I.R.). The link primarily provides passenger services from the city to Belfast, via several stops that include , , and , and connections to links with other parts of Northern Ireland. The route itself is the only remaining rail link used by trains; most of the lines developed in the mid 19th century fell into decline towards the mid 20th century from competition by new road networks. The original rail network that served the city included four different railways that, between them, linked the city with much of the province of Ulster, plus a harbour railway network that linked the other four lines, and a tramway on the City side of the Foyle. Usage of the rail link between Derry and Belfast remains questionable for commuters, due to the journey time of over two hours making it slower centre-to-centre than the 100-minute Ulsterbus Goldline Express service. Railway history 19th century – early 20th century growth Several railways began operation around the city of Derry within the middle of the 19th century. The companies that set up links helped to provide key links for the city towards other towns and cities across Ireland, for the transportation of passengers and freight. The lines that were constructed featured a mixture of Irish gauge and narrow gauge railways, and companies that operated them included: The Londonderry and Enniskillen Railway (L&ER) – The rail company constructed Derry's first railway in 1845 with Irish gauge () track. The line operated from a temporary station at Cow Market on the City side of the Foyle, reaching Strabane in 1847, before being extended from Cow Market to its permanent terminus at Foyle Road in 1850. The L&ER reached Omagh in 1852 and Enniskillen in 1854, and was absorbed into the Great Northern Railway (Ireland) in 1883. The Londonderry and Coleraine Railway (L&CR) – The rail company constructed an Irish gauge line to the city in 1852, opening a terminus at Waterside. The Belfast and Northern Counties Railway leased the line from 1861, before taking it over in 1871. The Londonderry and Lough Swilly Railway (L&LSR) – The rail company opened a line between Farland Point on Lough Swilly and a temporary terminus at Pennyburn in 1863, before extending the line in 1866 to a more permanent terminus at Graving Dock. The L&LSR was conceived to operate on Irish gauge track when it was constructed, but was converted in 1885 to narrow gauge to link it with the Letterkenny Railway. The Londonderry Port and Harbour Commissioners (LPHC) – The rail company established a line that linked Graving Dock and Foyle Road stations through Middle Quay in 1867, before extending the line to create a rail connection with Waterside station, via the newly constructed Carlisle Bridge, in 1868. When the bridge was replaced in 1933 with the double-deck Craigavon Bridge, the LPHC was assigned to operating on the lower deck. In 1900, the gauge Donegal Railway was extended to the city from Strabane, with construction establishing the Londonderry Victoria Road railway terminus and creating a junction with the LPHC railway. The LPHC line was altered to dual gauge which allowed gauge traffic between the Donegal Railway and L&LSR as well as Irish gauge traffic between the GNR and B&NCR. By 1905, the government of the United Kingdom offered subsidies to both the L&LSR and the Donegal Railway to build extensions to their railway networks into remote parts of County Donegal, which soon developed Derry (alongside Strabane) into becoming a key rail hub by 1905 for the county and surrounding regions. In 1906 the Northern Counties Committee (NCC, successor to the B&NCR) and the GNR jointly took over the Donegal Railway, making it the County Donegal Railways Joint Committee (CDRJC). Alongside the railways, the city was served by a standard gauge () tramway, the City of Derry Tramways. The tramway was opened in 1897 and consisted of horse trams that operated along a single line, long, which ran along the City side of the Foyle parallel to the LPHC's line on that side of the river. The line never converted to electrically operated trams, and was closed in 1919. 20th century decline In 1922, the partition of Ireland dramatically caused disruptions to the city's rail links, except for the NNC route to . The creation of an international frontier with County Donegal changed trade patterns to the detriment of the railways affected by the partition, placing border posts on every line to and from Derry, causing great delays to trains and disrupting timekeeping from custom inspections - the L&LSR faced inspections between Pennyburn and Bridge End; the CDRJC faced inspections beyond Strabane; and the GNR line faced inspections between Derry and Strabane. Custom agreements negotiated over the next few years between Britain and Ireland enabled GNR trains to travel to and from Derry - such trains would be allowed to pass without inspection through the Free State, unless they served local stations on the west bank of the Foyle - while goods transported by all railways between different parts of the Free State would be allowed to pass through Northern Ireland under customs bond. Despite these agreements, local passenger and goods traffic continued to be delayed by customs examinations. The decline of most of Derry's rail links took place after the Second World War, due to increasing competition by road links. The L&LSR closed its line in 1953, followed by the CDRJC in 1954. The Ulster Transport Authority, who took over the NCC in 1949 and the GNR's lines in Northern Ireland in 1958, took control of the LPHC railway before closing it in 1962, before eventually shutting down the former GNR line to Derry in 1965, after the submission of The Benson Report to the Northern Ireland Government two years prior to the closure. This left the former L&CR line to Coleraine as the sole railway link for the city, providing a passenger service to Belfast, alongside CIÉ freight services to Donegal. By the 1990s, the service began to deteriorate. 21st century regeneration In 2008, the Department for Regional Development announced plans to relay the track between Derry and Coleraine - the plan, aimed at being completed by 2013, included adding a passing loop to increase traffic capacity, and increasing the number of trains with two additional diesel multiple units. Additional phases of the plan also included improvements to existing stations along the line, and the restoration of the former Victoria Road terminus building to prepare for the relocation of the city's current terminus station to the site, all for completion by late 2019. Costing around £86 million, the improvements were aimed at reducing the journey time to Belfast by 30 minutes and allowing commuter trains to arrive before 9 a.m. for the first time. Road network The largest road investment in the north west's history took place during 2010, with the building of the 'A2 Broadbridge Maydown to City of Derry Airport dualling' project and announcement of the 'A6 Londonderry to Dungiven Dualling Scheme' with the intention to reduce the travel time to Belfast. The latter project brings a dual-carriageway link between Northern Ireland's two largest cities one step closer. The project is costing £320 million and is expected to be completed in 2016. In October 2006 the Government of Ireland announced that it was to invest €1 billion in Northern Ireland; with the planned projects including 'the A5 Western Transport Corridor', the complete upgrade of the A5 Derry – Omagh – Aughnacloy (– Dublin) road, around long, to dual carriageway standard. In June 2008 Conor Murphy, Minister for Regional Development, announced that there will be a study into the feasibility of connecting the A5 and A6. Should it proceed, the scheme would most likely run from Drumahoe to south of Prehen along the south east of the city. Sea Londonderry Port at Lisahally is the United Kingdom's most westerly port and has capacity for 30,000-ton vessels. The Londonderry Port and Harbour Commissioners (LPHC) announced record turnover, record profits and record tonnage figures for the year ended March 2008. The figures are the result of a significant capital expenditure programme for the period 2000 to 2007 of about £22 million. Tonnage handled by LPHC increased almost 65% between 2000 and 2007. The port gave vital Allied service in the longest running campaign of the Second World War, the Battle of the Atlantic, and saw the surrender of the German U-boat fleet at Lisahally on 8 May 1945. Inland waterways The tidal River Foyle is navigable from the coast at Derry to approximately inland. In 1796, the Strabane Canal was opened, continuing the navigation a further southwards to Strabane. The canal was closed in 1962. Education Derry is home to the Magee Campus of Ulster University, formerly Magee College. However, Lockwood's 1960s decision to locate Northern Ireland's second university in Coleraine rather than Derry helped contribute to the formation of the civil rights movement that ultimately led to The Troubles. Derry was the town more closely associated with higher learning, with Magee College already more than a century old by that time. In the mid-1980s an attempt was made at address this by forming Magee College as a campus of the Ulster University, but this failed to stifle calls for the establishment of an independent University in Derry. As of 2021, the Magee campus reportedly accommodated approximately 4,400 students, out of a total Ulster University student population of approximately 24,000, of which 15,000 are in the Belfast campus. The North West Regional College is also based in the city, and accommodates over 10,000 student enrolments annually. One of the two oldest secondary schools in Northern Ireland, Foyle College, is located in Derry. It was founded in 1616 by the Merchant Taylors. Other secondary schools include St. Columb's College, Oakgrove Integrated College, St Cecilia's College, St Mary's College, St. Joseph's Boys' School, Lisneal College, Thornhill College, Lumen Christi College and St. Brigid's College. There are also numerous primary schools. Sports The city is home to sports clubs and teams. Both association football and Gaelic football are popular in the area. Association football In association football, the city's most prominent clubs include Derry City who play in the national league of the Republic of Ireland; Institute of the NIFL Championship as well as Maiden City and Trojans, both of the Northern Ireland Intermediate League. In addition to these clubs, who all play in national leagues, other clubs are based in the city. The local football league governed by the IFA is the North-West Junior League, which contains many clubs from the city, such as BBOB (Boys Brigade Old Boys) and Lincoln Courts. The city's other junior league is the Derry and District League and teams from the city and surrounding areas participate, including Don Boscos and Creggan Swifts. The Foyle Cup youth soccer tournament is held annually in the city. It has attracted many notable teams in the past, including Werder Bremen, IFK Göteborg and Ferencváros. Gaelic football In Gaelic football Derry GAA are the county team and play in the Gaelic Athletic Association's National Football League, Ulster Senior Football Championship and All-Ireland Senior Football Championship. They also field hurling teams in the equivalent tournaments. There are many Gaelic games clubs in and around the city, for example Na Magha CLG, Steelstown GAC, Doire Colmcille CLG, Seán Dolans GAC, Na Piarsaigh CLG Doire Trasna and Slaughtmanus GAC. Boxing There are many boxing clubs, the most well-known being The Ring Boxing Club, which is based on the City side, and associated with boxers Charlie Nash and John Duddy. Rochester's Amateur Boxing club is a club in the city's Waterside area. Rugby union Rugby union is also quite popular in the city, with the City of Derry Rugby Club situated not far from the city centre. City of Derry won both the Ulster Towns Cup and the Ulster Junior Cup in 2009. Londonderry YMCA RFC is another rugby club and is based in the village of Drumahoe which is in the outskirts of the city. Basketball The city's only basketball club is North Star Basketball Club which has teams in the Basketball Northern Ireland senior and junior Leagues. Cricket Cricket is also played in the city, particularly in the Waterside. The city is home to two cricket clubs, Brigade Cricket Club and Glendermott Cricket Club, both of whom play in the North West Senior League. Golf There are two golf clubs situated in the city, City of Derry Golf Club and Foyle International Golf Centre. Culture Artists and writers associated with the city and surrounding countryside include the Nobel Prize-winning poet Seamus Heaney, poet Seamus Deane, playwright Brian Friel, writer and music critic Nik Cohn, artist Willie Doherty, socio-political commentator and activist Eamonn McCann and bands such as The Undertones. The large political gable-wall murals of Bogside Artists, Free Derry Corner, the Foyle Film Festival, the Derry Walls, St Eugene's and St Columb's Cathedrals and the annual Halloween street carnival are popular tourist attractions. In 2010, Derry was named the UK's tenth 'most musical' city by PRS for Music. In May 2013 a perpetual Peace Flame Monument was unveiled by Martin Luther King III and Presbyterian minister Rev. David Latimer. The flame was lit by children from both traditions in the city and is one of only 15 such flames across the world. Media The local newspapers, the Derry Journal (known as the Londonderry Journal until 1880) and the Londonderry Sentinel, reflect the divided history of the city: the Journal was founded in 1772 and is Ireland's second oldest newspaper; the Sentinel newspaper was formed in 1829 when new owners of the Journal embraced Catholic Emancipation, and the editor left the paper to set up the Sentinel. There are numerous radio stations receivable: the largest stations based in the city are BBC Radio Foyle and the commercial station Q102.9. There was a locally based television station, C9TV, one of only two local or 'restricted' television services in Northern Ireland, which ceased broadcasts in 2007. Night-life The city's night-life is mainly focused on the weekends, with several bars and clubs providing "student nights" during the weekdays. Waterloo Street and Strand Road provide the main venues. Waterloo Street, a steep street lined with both Irish traditional and modern pubs, frequently has live rock and traditional music at night. Events In 2013, Derry became the first city to be designated UK City of Culture, having been awarded the title in July 2010. Also in 2013 the city hosted Radio 1's Big Weekend and the Lumiere festival. The "Banks of the Foyle Hallowe'en Carnival" (known in Irish as Féile na Samhna) in Derry are a huge tourism boost for the city. The carnival is promoted as being the first and longest running Halloween carnival in the whole of Ireland, It is called the largest street party in Ireland by the Derry Visitor and Convention Bureau with more than 30,000 ghoulish revellers taking to the streets annually. In March, the city hosts the Big Tickle Comedy Festival, which in 2006 featured Dara Ó Briain and Colin Murphy. In April the city plays host to the City of Derry Jazz and Big Band Festival and in November the Foyle Film Festival, the biggest film festival in Northern Ireland. The Siege of Derry is commemorated annually by the fraternal organisation the Apprentice Boys of Derry in the week-long Maiden City Festival. The Instinct Festival is an annual youth festival celebrating the Arts. It is held around Easter and has proven a success in recent years. Celtronic is a major annual electronic dance festival held at venues all around the city. The 2007 Festival featured the DJ, Erol Alkan. The Millennium Forum is the main theatre in the city, it holds numerous shows weekly. On 9 December 2007 Derry entered the Guinness Book of Records when 13,000 Santas gathered to break the world record, beating previous records held by Liverpool and Las Vegas. Winner of the 2005 Britain in Bloom competition (City category). Runner-up 2009. References in popular music Notable people Notable people who were born or have lived in Derry include: Frederick Hervey, bishop William Thomas Gaul, bishop Edward Leach, recipient of the Victoria Cross George Farquhar, dramatist Joyce Cary, author Seamus Deane, author Jennifer Johnston, author Nell McCafferty, author Seamus Heaney, poet and Nobel laureate John Hume, politician and Nobel laureate William C. Campbell, scientist and Nobel laureate Martin McGuinness, politician Martin O'Neill, footballer James McClean, footballer Shane Duffy, footballer Aaron McEneff, footballer Darron Gibson, footballer Amanda Burton, actress Roma Downey, actress Nadine Coyle, singer Neil Hannon, singer Dana, singer and politician Feargal Sharkey, singer Jimmy McShane, singer Clare Crockett, nun Aileen Morrison, triathlete Tom McGuinness, Gaelic footballer Damian McGinty, singer John Park, recipient of the Victoria Cross Daniel Quigley, kickboxer Miles Ryan, recipient of the Victoria Cross Daryl Gurney, darter Freedom of the City The following people and military units have received the Freedom of the City of Derry. Individuals General His Grace Duke of Schomberg : 1690. Rt Hon William Pitt: 1786. Field Marshal Sir Arthur Wellesley GE: 1807. Rt Hon Sir Robert Peel : 1817. President Ulysses S. Grant: 1879. HRH Duke of York: 1924. Field Marshal Rt Hon Sir Bernard Montgomery : 1945. Rt Hon Sir Winston Churchill : 16 December 1955. John Hume: 1 May 2000. Edward Daly: 24 March 2015. James Mehaffey: 24 March 2015. James McLaughlin: 30 May 2019. Daniel Quigley: 26 November 2021. See also Ballynagalliagh Derry Girls List of abbeys and priories in County Londonderry List of towns and villages in Northern Ireland Scouting in Northern Ireland References External links Derry visitor information Londonderry Chamber of Commerce County Londonderry County towns in Northern Ireland Fortified settlements Port cities and towns in Northern Ireland Cities in Northern Ireland
9093
https://en.wikipedia.org/wiki/De%20Havilland%20Mosquito
De Havilland Mosquito
The de Havilland DH.98 Mosquito is a British twin-engined, shoulder-winged, multirole combat aircraft, introduced during the Second World War. Unusual in that its frame was constructed mostly of wood, it was nicknamed the "Wooden Wonder", or "Mossie". Lord Beaverbrook, Minister of Aircraft Production, nicknamed it "Freeman's Folly", alluding to Air Chief Marshal Sir Wilfrid Freeman, who defended Geoffrey de Havilland and his design concept against orders to scrap the project. In 1941, it was one of the fastest operational aircraft in the world. Originally conceived as an unarmed fast bomber, the Mosquito's use evolved during the war into many roles, including low- to medium-altitude daytime tactical bomber, high-altitude night bomber, pathfinder, day or night fighter, fighter-bomber, intruder, maritime strike, and photo-reconnaissance aircraft. It was also used by the British Overseas Airways Corporation as a fast transport to carry small, high-value cargo to and from neutral countries through enemy-controlled airspace. The crew of two, pilot and navigator, sat side by side. A single passenger could ride in the aircraft's bomb bay when necessary. The Mosquito FBVI was often flown in special raids, such as Operation Jericho (an attack on Amiens Prison in early 1944), and precision attacks against military intelligence, security, and police facilities (such as Gestapo headquarters). On 30 January 1943, the 10th anniversary of the Nazis' seizure of power, a morning Mosquito attack knocked out the main Berlin broadcasting station while Hermann Göring was speaking, taking his speech off the air. The Mosquito flew with the Royal Air Force (RAF) and other air forces in the European, Mediterranean, and Italian theatres. The Mosquito was also operated by the RAF in the Southeast Asian theatre and by the Royal Australian Air Force based in the Halmaheras and Borneo during the Pacific War. During the 1950s, the RAF replaced the Mosquito with the jet-powered English Electric Canberra. Development By the early to mid-1930s, de Havilland had built a reputation for innovative high-speed aircraft with the DH.88 Comet racer. Later, the DH.91 Albatross airliner pioneered the composite wood construction used for the Mosquito. The 22-passenger Albatross could cruise at at , faster than the Handley Page H.P.42 and other biplanes it was replacing. The wooden monocoque construction not only saved weight and compensated for the low power of the de Havilland Gipsy Twelve engines used by this aircraft, but also simplified production and reduced construction time. Air Ministry bomber requirements and concepts On 8 September 1936, the British Air Ministry issued Specification P.13/36, which called for a twin-engined, medium bomber capable of carrying a bomb load of for with a maximum speed of at ; a maximum bomb load of that could be carried over shorter ranges was also specified. Aviation firms entered heavy designs with new high-powered engines and multiple defensive turrets, leading to the production of the Avro Manchester and Handley Page Halifax. In May 1937, as a comparison to P.13/36, George Volkert, the chief designer of Handley Page, put forward the concept of a fast, unarmed bomber. In 20 pages, Volkert planned an aerodynamically clean, medium bomber to carry of bombs at a cruising speed of . Support existed in the RAF and Air Ministry; Captain R. N. Liptrot, Research Director Aircraft 3, appraised Volkert's design, calculating that its top speed would exceed that of the new Supermarine Spitfire, but counter-arguments held that although such a design had merit, it would not necessarily be faster than enemy fighters for long. The ministry was also considering using nonstrategic materials for aircraft production, which, in 1938, had led to specification B.9/38 and the Armstrong Whitworth Albemarle medium bomber, largely constructed from spruce and plywood attached to a steel-tube frame. The idea of a small, fast bomber gained support at a much earlier stage than is sometimes acknowledged, though the Air Ministry likely envisaged it using light alloy components. Inception of the de Havilland fast bomber Based on his experience with the Albatross, Geoffrey de Havilland believed that a bomber with a good aerodynamic design and smooth, minimal skin area, would exceed the P.13/36 specification. Furthermore, adapting the Albatross principles could save time. In April 1938, performance estimates were produced for a twin Rolls-Royce Merlin-powered DH.91, with the Bristol Hercules (radial engine) and Napier Sabre (H-engine) as alternatives. On 7 July 1938, de Havilland wrote to Air Marshal Wilfrid Freeman, the Air Council's member for Research and Development, discussing the specification and arguing that in war, shortages of aluminium and steel would occur, but supplies of wood-based products were "adequate." Although inferior in tension, the strength-to-weight ratio of wood is equal to or better than light alloys or steel, hence this approach was feasible. A follow-up letter to Freeman on 27 July said that the P.13/36 specification could not be met by a twin Merlin-powered aircraft and either the top speed or load capacity would be compromised, depending on which was paramount. For example, a larger, slower, turret-armed aircraft would have a range of carrying a 4,000 lb bomb load, with a maximum of at , and a cruising speed of at . De Havilland believed that a compromise, including eliminating surplus equipment, would improve matters. On 4 October 1938, de Havilland projected the performance of another design based on the Albatross, powered by two Merlin Xs, with a three-man crew and six or eight forward-firing guns, plus one or two manually operated guns and a tail turret. Based on a total loaded weight of , it would have a top speed of and cruising speed of at . Still believing this could be improved, and after examining more concepts based on the Albatross and the new all-metal DH.95 Flamingo, de Havilland settled on designing a new aircraft that would be aerodynamically clean, wooden, and powered by the Merlin, which offered substantial future development. The new design would be faster than foreseeable enemy fighter aircraft, and could dispense with a defensive armament, which would slow it and make interception or losses to antiaircraft guns more likely. Instead, high speed and good manoeuvrability would make evading fighters and ground fire easier. The lack of turrets simplified production, reduced drag, and reduced production time, with a delivery rate far in advance of competing designs. Without armament, the crew could be reduced to a pilot and navigator. Whereas contemporary RAF design philosophy favoured well-armed heavy bombers, this mode of design was more akin to the German philosophy of the Schnellbomber. At a meeting in early October 1938 with Geoffrey de Havilland and Charles Walker (de Havilland's chief engineer), the Air Ministry showed little interest, and instead asked de Havilland to build wings for other bombers as a subcontractor. By September 1939, de Havilland had produced preliminary estimates for single- and twin-engined variations of light-bomber designs using different engines, speculating on the effects of defensive armament on their designs. One design, completed on 6 September, was for an aircraft powered by a single Napier Sabre, with a wingspan of and capable of carrying a bomb load . On 20 September, in another letter to Wilfrid Freeman, de Havilland wrote "...we believe that we could produce a twin-engine[d] bomber which would have a performance so outstanding that little defensive equipment would be needed." By 4 October, work had progressed to a twin-engined light bomber with a wingspan of and powered by Merlin or Griffon engines, the Merlin favoured because of availability. On 7 October 1939, a month into the war, the nucleus of a design team under Eric Bishop moved to the security and secrecy of Salisbury Hall to work on what was later known as the DH.98. For more versatility, Bishop made provision for four 20 mm cannon in the forward half of the bomb bay, under the cockpit, firing via blast tubes and troughs under the fuselage. The DH.98 was too radical for the ministry, which wanted a heavily armed, multirole aircraft, combining medium bomber, reconnaissance, and general-purpose roles, that was also capable of carrying torpedoes. With the outbreak of war, the ministry became more receptive, but was still skeptical about an unarmed bomber. They thought the Germans would produce fighters that were faster than had been expected. and suggested the incorporation of two forward- and two rear-firing machine guns for defence. The ministry also opposed a two-man bomber, wanting at least a third crewman to reduce the work of the others on long flights. The Air Council added further requirements such as remotely controlled guns, a top speed of at 15,000 ft on two-thirds engine power, and a range of with a 4,000-lb bomb load. To appease the ministry, de Havilland built mock-ups with a gun turret just aft of the cockpit, but apart from this compromise, de Havilland made no changes. On 12 November, at a meeting considering fast-bomber ideas put forward by de Havilland, Blackburn, and Bristol, Air Marshal Freeman directed de Havilland to produce a fast aircraft, powered initially by Merlin engines, with options of using progressively more powerful engines, including the Rolls-Royce Griffon and the Napier Sabre. Although estimates were presented for a slightly larger Griffon-powered aircraft, armed with a four-gun tail turret, Freeman got the requirement for defensive weapons dropped, and a draft requirement was raised calling for a high-speed, light-reconnaissance bomber capable of at 18,000 ft. On 12 December, the Vice-Chief of the Air Staff, Director General of Research and Development, and the Air Officer Commanding-in-Chief (AOC-in-C) of RAF Bomber Command met to finalise the design and decide how to fit it into the RAF's aims. The AOC-in-C would not accept an unarmed bomber, but insisted on its suitability for reconnaissance missions with F8 or F24 cameras. After company representatives, the ministry, and the RAF's operational commands examined a full-scale mock-up at Hatfield on 29 December 1939, the project received backing. This was confirmed on 1 January 1940, when Freeman chaired a meeting with Geoffrey de Havilland, John Buchanan (Deputy of Aircraft Production), and John Connolly (Buchanan's chief of staff). De Havilland claimed the DH.98 was the "fastest bomber in the world...it must be useful". Freeman supported it for RAF service, ordering a single prototype for an unarmed bomber to specification B.1/40/dh, which called for a light bomber/reconnaissance aircraft powered by two Rolls-Royce RM3SM (an early designation for the Merlin 21) with ducted radiators, capable of carrying a bomb load. The aircraft was to have a speed of at and a cruising speed of at with a range of at on full tanks. Maximum service ceiling was to be . On 1 March 1940, Air Marshal Roderic Hill issued a contract under Specification B.1/40, for 50 bomber-reconnaissance variants of the DH.98; this contract included the prototype, which was given the factory serial E-0234. In May 1940, specification F.21/40 was issued, calling for a long-range fighter armed with four 20 mm cannon and four .303 machine guns in the nose, after which de Havilland was authorised to build a prototype of a fighter version of the DH.98. After debate, that this prototype, given the military serial number W4052, was decided to carry airborne interception (AI) Mk IV equipment as a day and night fighter. By June 1940, the DH.98 had been named "Mosquito". Having the fighter variant kept the Mosquito project alive, as doubts remained within the government and Air Ministry regarding the usefulness of an unarmed bomber, even after the prototype had shown its capabilities. Project Mosquito With design of the DH.98 started, mock-ups were built, the most detailed at Salisbury Hall, where E-0234 was later constructed. Initially, the concept was for the crew to be enclosed in the fuselage behind a transparent nose (similar to the Bristol Blenheim or Heinkel He 111H), but this was quickly altered to a more solid nose with a conventional canopy. Work was cancelled again after the Battle of Dunkirk, when Lord Beaverbrook, as Minister of Aircraft Production, decided no production capacity remained for aircraft like the DH.98, which was not expected to be in service until early 1942. Beaverbrook told Air Vice-Marshal Freeman that work on the project should stop, but he did not issue a specific instruction, and Freeman ignored the request. In June 1940, however, Lord Beaverbrook and the Air Staff ordered that production should concentrate on five existing types, namely the Supermarine Spitfire, Hawker Hurricane fighter, Vickers Wellington, Armstrong-Whitworth Whitley, and Bristol Blenheim bombers. Work on the DH.98 prototype stopped. Apparently, the project shut down when the design team were denied materials for the prototype. The Mosquito was only reinstated as a priority in July 1940, after de Havilland's general manager, L.C.L. Murray, promised Lord Beaverbrook 50 Mosquitos by December 1941. This was only after Beaverbrook was satisfied that Mosquito production would not hinder de Havilland's primary work of producing Tiger Moth and Airspeed Oxford trainers, repairing Hurricanes, and manufacturing Merlin engines under licence. In promising Beaverbrook such a number by the end of 1941, de Havilland was taking a gamble, because they were unlikely to be built in such a limited time. As it transpired, only 20 aircraft were built in 1941, but the other 30 were delivered by mid-March 1942. During the Battle of Britain, interruptions to production due to air raid warnings caused nearly a third of de Havilland's factory time to be lost. Nevertheless, work on the prototype went ahead quickly at Salisbury Hall since E-0234 was completed by November 1940. In the aftermath of the Battle of Britain, the original order was changed to 20 bomber variants and 30 fighters. Whether the fighter version should have dual or single controls, or should carry a turret, was still uncertain, so three prototypes were built: W4052, W4053, and W4073. The second and third, both turret armed, were later disarmed, to become the prototypes for the T.III trainer. This caused some delays, since half-built wing components had to be strengthened for the required higher combat loading. The nose sections also had to be changed from a design with a clear perspex bomb-aimer's position, to one with a solid nose housing four .303 machine guns and their ammunition. Prototypes and test flights On 3 November 1940, the prototype aircraft, painted in "prototype yellow" and still coded E-0234, was dismantled, transported by road to Hatfield and placed in a small, blast-proof assembly building. Two Merlin 21 two-speed, single-stage supercharged engines were installed, driving three-bladed de Havilland Hydromatic constant-speed controllable-pitch propellers. Engine runs were made on 19 November. On 24 November, taxiing trials were carried out by Geoffrey de Havilland Jr., the de Havilland test pilot. On 25 November, the aircraft made its first flight, piloted by de Havilland Jr., accompanied by John E. Walker, the chief engine installation designer. For this maiden flight, E-0234, weighing , took off from the grass airstrip at the Hatfield site. The takeoff was reported as "straightforward and easy" and the undercarriage was not retracted until a considerable altitude was attained. The aircraft reached , with the only problem being the undercarriage doors – which were operated by bungee cords attached to the main undercarriage legs – that remained open by some at that speed. This problem persisted for some time. The left wing of E-0234 also had a tendency to drag to port slightly, so a rigging adjustment, i.e., a slight change in the angle of the wing, was carried out before further flights. On 5 December 1940, the prototype, with the military serial number W4050, experienced tail buffeting at speeds between . The pilot noticed this most in the control column, with handling becoming more difficult. During testing on 10 December, wool tufts were attached to suspect areas to investigate the direction of airflow. The conclusion was that the airflow separating from the rear section of the inner engine nacelles was disturbed, leading to a localised stall and the disturbed airflow was striking the tailplane, causing buffeting. To smooth the air flow and deflect it from forcefully striking the tailplane, nonretractable slots fitted to the inner engine nacelles and to the leading edge of the tailplane were tested. These slots and wing-root fairings fitted to the forward fuselage and leading edge of the radiator intakes, stopped some of the vibration experienced, but did not cure the tailplane buffeting. In February 1941, buffeting was eliminated by incorporating triangular fillets on the trailing edge of the wings and lengthening the nacelles, the trailing edge of which curved up to fair into the fillet some behind the wing's trailing edge; this meant the flaps had to be divided into inboard and outboard sections. With the buffeting problems largely resolved, John Cunningham flew W4050 on 9 February 1941. He was greatly impressed by the "lightness of the controls and generally pleasant handling characteristics". Cunningham concluded that when the type was fitted with AI equipment, it might replace the Bristol Beaufighter night fighter. During its trials on 16 January 1941, W4050 outpaced a Spitfire at . The original estimates were that as the Mosquito prototype had twice the surface area and over twice the weight of the Spitfire Mk II, but also with twice its power, the Mosquito would end up being faster. Over the next few months, W4050 surpassed this estimate, easily beating the Spitfire Mk II in testing at RAF Boscombe Down in February 1941, reaching a top speed of at altitude, compared to a top speed of at for the Spitfire. On 19 February, official trials began at the Aeroplane and Armament Experimental Establishment (AAEE) based at Boscombe Down, although the de Havilland representative was surprised by a delay in starting the tests. On 24 February, as W4050 taxied across the rough airfield, the tailwheel jammed leading to the fuselage fracturing. Repairs were made by early March, using part of the fuselage of the photo-reconnaissance prototype W4051. In spite of this setback, the Initial Handling Report 767 issued by the AAEE stated, "The aeroplane is pleasant to fly ... aileron control light and effective..." The maximum speed reached was at , with an estimated maximum ceiling of and a maximum rate of climb of at . W4050 continued to be used for various test programmes, as the experimental "workhorse" for the Mosquito family. In late October 1941, it returned to the factory to be fitted with Merlin 61s, the first production Merlins fitted with a two-speed, two-stage supercharger. The first flight with the new engines was on 20 June 1942. W4050 recorded a maximum speed of at (fitted with straight-through air intakes with snow guards, engines in full supercharger gear) and at without snow guards. In October 1942, in connection with development work on the NF Mk XV, W4050 was fitted with extended wingtips, increasing the span to , first flying in this configuration on 8 December. Fitted with high-altitude-rated, two-stage, two-speed Merlin 77s, it reached in December 1943. Soon after these flights, W4050 was grounded and scheduled to be scrapped, but instead served as an instructional airframe at Hatfield. In September 1958, W4050 was returned to the Salisbury Hall hangar where it was built, restored to its original configuration, and became one of the primary exhibits of the de Havilland Aircraft Heritage Centre. W4051, which was designed from the outset to be the prototype for the photo-reconnaissance versions of the Mosquito, was slated to make its first flight in early 1941. However, the fuselage fracture in W4050 meant that W4051's fuselage was used as a replacement; W4051 was then rebuilt using a production standard fuselage and first flew on 10 June 1941. This prototype continued to use the short engine nacelles, single-piece trailing-edge flaps, and the "No. 1" tailplane used by W4050, but had production-standard wings and became the only Mosquito prototype to fly operationally. Construction of the fighter prototype, W4052, was also carried out at the secret Salisbury Hall facility. It was powered by Merlin 21s, and had an altered canopy structure with a flat, bullet-proof windscreen; the solid nose had mounted four .303 British Browning machine guns and their ammunition boxes, accessible by a large, sideways hinged panel. Four 20-mm Hispano Mk II cannon were housed in a compartment under the cockpit floor with the breeches projecting into the bomb bay and the automatic bomb bay doors were replaced by manually operated bay doors, which incorporated cartridge ejector chutes. As a day and night fighter, prototype W4052 was equipped with AI Mk IV equipment, complete with an "arrowhead" transmission aerial mounted between the central Brownings and receiving aerials through the outer wing tips, and it was painted in black RDM2a "Special Night" finish. It was also the first prototype constructed with the extended engine nacelles. W4052 was later tested with other modifications, including bomb racks, drop tanks, barrage balloon cable cutters in the leading edge of the wings, Hamilton airscrews and braking propellers, and drooping aileron systems that enabled steep approaches and a larger rudder tab. The prototype continued to serve as a test machine until it was scrapped on 28 January 1946. 4055 flew the first operational Mosquito flight on 17 September 1941. During flight testing, the Mosquito prototypes were modified to test a number of configurations. W4050 was fitted with a turret behind the cockpit for drag tests, after which the idea was abandoned in July 1941. W4052 had the first version of the Youngman Frill airbrake fitted to the fighter prototype. The frill was mounted around the fuselage behind the wing and was opened by bellows and venturi effect to provide rapid deceleration during interceptions and was tested between January and August 1942, but was also abandoned when lowering the undercarriage was found to have the same effect with less buffeting. Production plans and American interest The Air Ministry authorised mass production plans on 21 June 1941, by which time the Mosquito had become one of the world's fastest operational aircraft. It ordered 19 photo-reconnaissance (PR) models and 176 fighters. A further 50 were unspecified; in July 1941, these were confirmed to be unarmed fast bombers. By the end of January 1942, contracts had been awarded for 1,378 Mosquitos of all variants, including 20 T.III trainers and 334 FB.VI bombers. Another 400 were to be built by de Havilland Canada. On 20 April 1941, W4050 was demonstrated to Lord Beaverbrook, the Minister of Aircraft Production. The Mosquito made a series of flights, including one rolling climb on one engine. Also present were US General Henry H. Arnold and his aide Major Elwood Quesada, who wrote "I ... recall the first time I saw the Mosquito as being impressed by its performance, which we were aware of. We were impressed by the appearance of the airplane that looks fast usually is fast, and the Mosquito was, by the standards of the time, an extremely well-streamlined airplane, and it was highly regarded, highly respected." The trials set up future production plans between Britain, Australia, and Canada. Six days later, Arnold returned to America with a full set of manufacturer's drawings. As a result of his report, five companies (Beech, Curtiss-Wright, Fairchild, Fleetwings, and Hughes) were asked to evaluate the de Havilland data. The report by Beech Aircraft summed up the general view: "It appears as though this airplane has sacrificed serviceability, structural strength, ease of construction and flying characteristics in an attempt to use construction material which is not suitable for the manufacture of efficient airplanes." The Americans did not pursue the proposal for licensed production, the consensus arguing that the Lockheed P-38 Lightning could fulfill the same duties. However, Arnold urged the United States Army Air Forces (USAAF) to evaluate the design even if they would not adopt it. On 12 December 1941, after the attack on Pearl Harbor, the USAAF requested one airframe for this purpose. Design and manufacture Overview While timber construction was considered outmoded by some, de Havilland claimed that their successes with techniques used for the DH 91 Albatross could lead to a fast, light bomber using monocoque-sandwich shell construction. Arguments in favour of this included speed of prototyping, rapid development, minimisation of jig-building time, and employment of a separate category of workforce. The ply-balsa-ply monocoque fuselage and one-piece wings with doped fabric covering would give excellent aerodynamic performance and low weight, combined with strength and stiffness. At the same time, the design team had to fight conservative Air Ministry views on defensive armament. Guns and gun turrets, favoured by the ministry, would impair the aircraft's aerodynamic properties and reduce speed and manoeuvrability, in the opinion of the designers. Whilst submitting these arguments, Geoffrey de Havilland funded his private venture until a very late stage. The project was a success beyond all expectations. The initial bomber and photo-reconnaissance versions were extremely fast, whilst the armament of subsequent variants might be regarded as primarily offensive. The most-produced variant, designated the FB Mk VI (Fighter-bomber Mark 6), was powered by two Merlin Mk 23 or Mk 25 engines driving three-bladed de Havilland hydromatic propellers. The typical fixed armament for an FB Mk VI was four Browning .303 machine guns and four 20-mm Hispano cannons, while the offensive load consisted of up to of bombs, or eight RP-3 unguided rockets. Performance The design was noted for light and effective control surfaces that provided good manoeuvrability, but required that the rudder not be used aggressively at high speeds. Poor aileron control at low speeds when landing and taking off was also a problem for inexperienced crews. For flying at low speeds, the flaps had to be set at 15°, speed reduced to , and rpm set to 2,650. The speed could be reduced to an acceptable for low-speed flying. For cruising, the optimum speed for obtaining maximum range was at weight. The Mosquito had a high stalling speed of with undercarriage and flaps raised. When both were lowered, the stalling speed decreased from . Stall speed at normal approach angle and conditions was . Warning of the stall was given by buffeting and would occur before stall was reached. The conditions and impact of the stall were not severe. The wing did not drop unless the control column was pulled back. The nose drooped gently and recovery was easy. Early on in the Mosquito's operational life, the intake shrouds that were to cool the exhausts on production aircraft overheated. Flame dampers prevented exhaust glow on night operations, but they had an effect on performance. Multiple ejector and open-ended exhaust stubs helped solve the problem and were used in the PR.VIII, B.IX, and B.XVI variants. This increased speed performance in the B.IX alone by . Fuselage The oval-section fuselage was a frameless monocoque shell built in two vertically separate halves formed over a mahogany or concrete mould. Pressure was applied with band clamps. Some of the 1/2—3/4" shell sandwich skins comprised 3/32" birch three-ply outers, with 7/16" cores of Ecuadorean balsa. In many generally smaller but vital areas, such as around apertures and attachment zones, stronger timbers, including aircraft-quality spruce, replaced the balsa core. The main areas of the sandwich skin were only thick. Together with various forms of wood reinforcement, often of laminated construction, the sandwich skin gave great stiffness and torsional resistance. The separate fuselage halves speeded construction, permitting access by personnel working in parallel with others, as the work progressed. Work on the separate half-fuselages included installation of control mechanisms and cabling. Screwed inserts into the inner skins that would be under stress in service were reinforced using round shear plates made from a fabric-Bakelite composite. Transverse bulkheads were also compositely built-up with several species of timber, plywood, and balsa. Seven vertically halved bulkheads were installed within each moulded fuselage shell before the main "boxing up" operation. Bulkhead number seven was especially strongly built, since it carried the fitments and transmitted the aerodynamic loadings for the tailplane and rudder. The fuselage had a large ventral section cut-out, strongly reinforced, that allowed the fuselage to be lowered onto the wing centre-section at a later stage of assembly. For early production aircraft, the structural assembly adhesive was casein-based. At a later stage, this was replaced by "Aerolite", a synthetic urea-formaldehyde type, which was more durable. To provide for the edge joints for the fuselage halves, zones near the outer edges of the shells had their balsa sandwich cores replaced by much stronger inner laminations of birch plywood. For the bonding together of the two halves ("boxing up"), a longitudinal cut was machined into these edges. The profile of this cut was a form of V-groove. Part of the edge bonding process also included adding further longitudinal plywood lap strips on the outside of the shells. The half bulkheads of each shell were bonded to their corresponding pair in a similar way. Two laminated wooden clamps were used in the after portion of the fuselage to provide supports during this complex gluing work. The resulting large structural components had to be kept completely still and held in the correct environment until the glue cured. For finishing, a covering of doped madapollam (a fine, plain-woven cotton) fabric was stretched tightly over the shell and several coats of red, followed by silver dope, were added, followed by the final camouflage paint. Wing The all-wood wing pairs comprised a single structural unit throughout the wingspan, with no central longitudinal joint. Instead, the spars ran from wingtip to wingtip. There was a single continuous main spar and another continuous rear spar. Because of the combination of dihedral with the forward sweep of the trailing edges of the wings, this rear spar was one of the most complex units to laminate and to finish machining after the bonding and curing. It had to produce the correct 3D tilt in each of two planes. Also, it was designed and made to taper from the wing roots towards the wingtips. Both principal spars were of ply box construction, using in general 0.25-in plywood webs with laminated spruce flanges, plus a number of additional reinforcements and special details. Spruce and plywood ribs were connected with gusset joints. Some heavy-duty ribs contained pieces of ash and walnut, as well as the special five ply that included veneers laid up at 45°. The upper skin construction was in two layers of 0.25-in five-ply birch, separated by Douglas fir stringers running in the span-wise direction. The wings were covered with madapollam fabric and doped in a similar manner to the fuselage. The wing was installed into the roots by means of four large attachment points. The engine radiators were fitted in the inner wing, just outboard of the fuselage on either side. These gave less drag. The radiators themselves were split into three sections: an oil cooler section outboard, the middle section forming the coolant radiator and the inboard section serving the cabin heater. The wing contained metal-framed and -skinned ailerons, but the flaps were made of wood and were hydraulically controlled. The nacelles were mostly wood, although for strength, the engine mounts were all metal, as were the undercarriage parts. Engine mounts of welded steel tube were added, along with simple landing gear oleos filled with rubber blocks. Wood was used to carry only in-plane loads, with metal fittings used for all triaxially loaded components such as landing gear, engine mounts, control-surface mounting brackets, and the wing-to-fuselage junction. The outer leading wing edge had to be brought further forward to accommodate this design. The main tail unit was all wood built. The control surfaces, the rudder, and elevator were aluminium-framed and fabric-covered. The total weight of metal castings and forgings used in the aircraft was only . In November 1944, several crashes occurred in the Far East. At first, these were thought to be a result of wing-structure failures. The casein glue, it was said, cracked when exposed to extreme heat and/or monsoon conditions. This caused the upper surfaces to "lift" from the main spar. An investigating team led by Major Hereward de Havilland travelled to India and produced a report in early December 1944 stating, "the accidents were not caused by the deterioration of the glue, but by shrinkage of the airframe during the wet monsoon season". However, a later inquiry by Cabot & Myers firmly attributed the accidents to faulty manufacture and this was confirmed by a further investigation team by the Ministry of Aircraft Production at Defford, which found faults in six Mosquito marks (all built at de Havilland's Hatfield and Leavesden plants). The defects were similar, and none of the aircraft had been exposed to monsoon conditions or termite attack. The investigators concluded that construction defects occurred at the two plants. They found that the "...standard of glueing...left much to be desired." Records at the time showed that accidents caused by "loss of control" were three times more frequent on Mosquitos than on any other type of aircraft. The Air Ministry forestalled any loss of confidence in the Mosquito by holding to Major de Havilland's initial investigation in India that the accidents were caused "largely by climate" To solve the problem of seepage into the interior, a strip of plywood was set along the span of the wing to seal the entire length of the skin joint. Systems The fuel systems gave the Mosquito good range and endurance, using up to nine fuel tanks. Two outer wing tanks each contained of fuel. These were complemented by two inner wing fuel tanks, each containing , located between the wing root and engine nacelle. In the central fuselage were twin fuel tanks mounted between bulkhead number two and three aft of the cockpit. In the FB.VI, these tanks contained each, while in the B.IV and other unarmed Mosquitos each of the two centre tanks contained . Both the inner wing, and fuselage tanks are listed as the "main tanks" and the total internal fuel load of was initially deemed appropriate for the type. In addition, the FB Mk VI could have larger fuselage tanks, increasing the capacity to . Drop tanks of or could be mounted under each wing, increasing the total fuel load to . The design of the Mark VI allowed for a provisional long-range fuel tank to increase range for action over enemy territory, for the installation of bomb release equipment specific to depth charges for strikes against enemy shipping, or for the simultaneous use of rocket projectiles along with a drop tank under each wing supplementing the main fuel cells. The FB.VI had a wingspan of , a length (over guns) of . It had a maximum speed of at . Maximum take-off weight was and the range of the aircraft was with a service ceiling of . To reduce fuel vaporisation at the high altitudes of photographic reconnaissance variants, the central and inner wing tanks were pressurised. The pressure venting cock located behind the pilot's seat controlled the pressure valve. As the altitude increased, the valve increased the volume applied by a pump. This system was extended to include field modifications of the fuel tank system. The engine oil tanks were in the engine nacelles. Each nacelle contained a oil tank, including a air space. The oil tanks themselves had no separate coolant controlling systems. The coolant header tank was in the forward nacelle, behind the propeller. The remaining coolant systems were controlled by the coolant radiators shutters in the forward inner wing compartment, between the nacelle and the fuselage and behind the main engine cooling radiators, which were fitted in the leading edge. Electric-pneumatic operated radiator shutters directed and controlled airflow through the ducts and into the coolant valves, to predetermined temperatures. Electrical power came from a 24 volt DC generator on the starboard (No. 2) engine and an alternator on the port engine, which also supplied AC power for radios. The radiator shutters, supercharger gear change, gun camera, bomb bay, bomb/rocket release and all the other crew controlled instruments were powered by a 24 V battery. The radio communication devices included VHF and HF communications, GEE navigation, and IFF and G.P. devices. The electric generators also powered the fire extinguishers. Located on the starboard side of the cockpit, the switches would operate automatically in the event of a crash. In flight, a warning light would flash to indicate a fire, should the pilot not already be aware of it. In later models, to save liquids and engine clean up time in case of belly landing, the fire extinguisher was changed to semi-automatic triggers. The main landing gear, housed in the nacelles behind the engines, were raised and lowered hydraulically. The main landing gear shock absorbers were de Havilland manufactured and used a system of rubber in compression, rather than hydraulic oleos, with twin pneumatic brakes for each wheel. The Dunlop-Marstrand anti-shimmy tailwheel was also retractable. Operational history The de Havilland Mosquito operated in many roles, performing medium bomber, reconnaissance, tactical strike, anti-submarine warfare, shipping attacks and night fighter duties, until the end of the war. In July 1941, the first production Mosquito W4051 (a production fuselage combined with some prototype flying surfaces – see Prototypes and test flights) was sent to No. 1 Photographic Reconnaissance Unit (PRU), at RAF Benson. The secret reconnaissance flights of this aircraft were the first operational missions of the Mosquito. In 1944, the journal Flight gave 19 September 1941 as date of the first PR mission, at an altitude "of some 20,000 ft". On 15 November 1941, 105 Squadron, RAF, took delivery at RAF Swanton Morley, Norfolk, of the first operational Mosquito Mk. B.IV bomber, serial no. W4064. Throughout 1942, 105 Squadron, based next at RAF Horsham St. Faith, then from 29 September, RAF Marham, undertook daylight low-level and shallow dive attacks. Apart from the Oslo and Berlin raids, the strikes were mainly on industrial and infrastructure targets in occupied Netherlands and Norway, France and northern and western Germany. The crews faced deadly flak and fighters, particularly Focke-Wulf Fw 190s, which they called snappers. Germany still controlled continental airspace and the Fw 190s were often already airborne and at an advantageous altitude. Collisions within the formations also caused casualties. It was the Mosquito's excellent handling capabilities, rather than pure speed, that facilitated successful evasions. The Mosquito was first announced publicly on 26 September 1942 after the Oslo Mosquito raid of 25 September. It was featured in The Times on 28 September and the next day the newspaper published two captioned photographs illustrating the bomb strikes and damage. On 6 December 1942, Mosquitos from Nos. 105 and 139 Squadrons made up part of the bomber force used in Operation Oyster, the large No. 2 Group raid against the Philips works at Eindhoven. From mid-1942 to mid-1943, Mosquito bombers flew high-speed, medium and low-altitude daylight missions against factories, railways and other pinpoint targets in Germany and German-occupied Europe. From June 1943, Mosquito bombers were formed into the Light Night Striking Force to guide RAF Bomber Command heavy bomber raids and as "nuisance" bombers, dropping Blockbuster bombs – "cookies" – in high-altitude, high-speed raids that German night fighters were almost powerless to intercept. As a night fighter from mid-1942, the Mosquito intercepted Luftwaffe raids on Britain, notably those of Operation Steinbock in 1944. Starting in July 1942, Mosquito night-fighter units raided Luftwaffe airfields. As part of 100 Group, it was flown as a night fighter and as an intruder supporting Bomber Command heavy bombers that reduced losses during 1944 and 1945. The Mosquito fighter-bomber served as a strike aircraft in the Second Tactical Air Force (2TAF) from its inception on 1 June 1943. The main objective was to prepare for the invasion of occupied Europe a year later. In Operation Overlord three Mosquito FB VI wings flew close air support for the Allied armies in co-operation with other RAF units equipped with the North American B-25 Mitchell medium bomber. In the months between the foundation of 2TAF and its duties from D day onwards, vital training was interspersed with attacks on V-1 flying bomb launch sites. In another example of the daylight precision raids carried out by the Mosquitos of Nos. 105 and 139 Squadrons, on 30 January 1943, the 10th anniversary of the Nazis' seizure of power, a morning Mosquito attack knocked out the main Berlin broadcasting station while Luftwaffe Chief Reichsmarschall Hermann Göring was speaking, putting his speech off the air. A second sortie in the afternoon inconvenienced another speech, by Propaganda Minister Joseph Goebbels. Lecturing a group of German aircraft manufacturers, Göring said: During this daylight-raiding phase, Nos. 105 and 139 Squadrons flew 139 combat operations and aircrew losses were high. Even the losses incurred in the squadrons' dangerous Blenheim era were exceeded in percentage terms. The Roll of Honour shows 51 aircrew deaths from the end of May 1942 to April 1943. In the corresponding period, crews gained three Mentions in Despatches, two DFMs and three DFCs. The low-level daylight attacks finished on 27 May 1943 with strikes on the Schott glass and Zeiss instrument works, both in Jena. Subsequently, when low-level precision attacks required Mosquitos, they were allotted to squadrons operating the FB.IV version. Examples include the Aarhus air raid and Operation Jericho. Since the beginning of the year, the German fighter force had become seriously overstretched. In April 1943, in response to "political humiliation" caused by the Mosquito, Göring ordered the formation of special Luftwaffe units (Jagdgeschwader 25, commanded by Oberstleutnant Herbert Ihlefeld and Jagdgeschwader 50, under Major Hermann Graf) to combat the Mosquito attacks, though these units, which were "little more than glorified squadrons", were unsuccessful against the elusive RAF aircraft. Post-war German histories also indicate that there was a belief within the Luftwaffe that Mosquito aircraft "gave only a weak radar signal.". The first Mosquito Squadron to be equipped with Oboe (navigation) was No. 109, based at RAF Wyton, after working as an experimental unit at RAF Boscombe Down. They used Oboe in anger for the first time on 31 December 1942 and 1 January 1943, target marking for a force of heavy bombers attacking Düsseldorf.. On 1 June, the two pioneering Squadrons joined No. 109 Squadron in the re-formed No. 8 Group RAF (Bomber Command). Initially they were engaged in moderately high altitude (about ) night bombing, with 67 trips during that summer, mainly to Berlin. Soon after, Nos. 105 and 139 Squadron bombers were widely used by the RAF Pathfinder Force, marking targets for the main night-time strategic bombing force. In what were, initially, diversionary "nuisance raids," Mosquito bombers dropped 4,000 lb Blockbuster bombs or "Cookies." Particularly after the introduction of H2S (radar) in some Mosquitos, these raids carrying larger bombs succeeded to the extent that they provided a significant additional form of attack to the large formations of "heavies." Latterly in the war, there were a significant number of all-Mosquito raids on big German cities involving up to 100 or more aircraft. On the night of 20/21 February 1945, for example, Mosquitos of No. 8 Group mounted the first of 36 consecutive night raids on Berlin. From 1943, Mosquitos with RAF Coastal Command attacked Kriegsmarine U-boats and intercepted transport ship concentrations. After Operation Overlord, the U-boat threat in the Western Approaches decreased fairly quickly, but correspondingly the Norwegian and Danish waters posed greater dangers. Hence the RAF Coastal Command Mosquitos were moved to Scotland to counter this threat. The Strike Wing at Banff stood up in September 1944 and comprised Mosquito aircraft of No's 143, 144, 235 and 248 Squadrons Royal Air Force and No.333 Squadron Royal Norwegian Air Force. Despite an initially high loss rate, the Mosquito bomber variants ended the war with the lowest losses of any aircraft in RAF Bomber Command service. The Mosquito also proved a very capable night fighter. Some of the most successful RAF pilots flew these variants. For example, Wing Commander Branse Burbridge claimed 21 kills, and Wing Commander John Cunningham claimed 19 of his 20 victories at night on Mosquitos. Mosquitos of No. 100 Group RAF acted as night intruders operating at high level in support of the Bomber Command "heavies", to counter the enemy tactic of merging into the bomber stream, which, towards the end of 1943, was causing serious allied losses. These RCM (radio countermeasures) aircraft were fitted with a device called "Serrate" to allow them to track down German night fighters from their Lichtenstein B/C (low-UHF-band) and Lichtenstein SN-2 (lower end of the VHF FM broadcast band) radar emissions, as well as a device named "Perfectos" that tracked German IFF signals. These methods were responsible for the destruction of 257 German aircraft from December 1943 to April 1945. Mosquito fighters from all units accounted for 487 German aircraft during the war, the vast majority of which were night fighters. One Mosquito is listed as belonging to German secret operations unit Kampfgeschwader 200, which tested, evaluated and sometimes clandestinely operated captured enemy aircraft during the war. The aircraft was listed on the order of battle of Versuchsverband OKLs, 2 Staffel, Stab Gruppe on 10 November and 31 December 1944. However, on both lists, the Mosquito is listed as unserviceable. The Mosquito flew its last official European war mission on 21 May 1945, when Mosquitos of 143 Squadron and 248 Squadron RAF were ordered to continue to hunt German submarines that might be tempted to continue the fight; instead of submarines all the Mosquitos encountered were passive E-boats. The last operational RAF Mosquitos were the Mosquito TT.35's, which were finally retired from No. 3 Civilian Anti-Aircraft Co-Operation Unit (CAACU) in May 1963. In 1947–49, up to 180 Canadian surplus Mosquitoes flew many operations for the Nationalist Chinese under Chiang Kai-shek in the civil war against Communist forces. Pilots from three squadrons of Mosquitoes claimed to have sunk or damaged 500 ships during one invasion attempt. As the Communists assumed control, the remaining aircraft were evacuated to Formosa, where they flew missions against shipping. Variants Until the end of 1942 the RAF always used Roman numerals (I, II, ...) for mark numbers; 1943–1948 was a transition period during which new aircraft entering service were given Arabic numerals (1, 2, ...) for mark numbers, but older aircraft retained their Roman numerals. From 1948 onwards, Arabic numerals were used exclusively. Prototypes Three prototypes were built, each with a different configuration. The first to fly was W4050 on 25 November 1940, followed by the fighter W4052 on 15 May 1941 and the photo-reconnaissance prototype W4051 on 10 June 1941. W4051 later flew operationally with 1 Photographic Reconnaissance Unit (1 PRU). Photo-reconnaissance A total of 10 Mosquito PR Mk Is were built, four of them "long range" versions equipped with a overload fuel tank in the fuselage. The contract called for 10 of the PR Mk I airframes to be converted to B Mk IV Series 1s. All of the PR Mk Is, and the B Mk IV Series 1s, had the original short engine nacelles and short span (19 ft 5.5 in) tailplanes. Their engine cowlings incorporated the original pattern of integrated exhaust manifolds, which, after relatively brief flight time, had a troublesome habit of burning and blistering the cowling panels. The first operational sortie by a Mosquito was made by a PR Mk I, W4055, on 17 September 1941; during this sortie the unarmed Mosquito PR.I evaded three Messerschmitt Bf 109s at . Powered by two Merlin 21s, the PR Mk I had a maximum speed of , a cruise speed of , a ceiling of , a range of , and a climb rate of per minute. Over 30 Mosquito B Mk IV bombers were converted into the PR Mk IV photo-reconnaissance aircraft. The first operational flight by a PR Mk IV was made by DK284 in April 1942. The Mosquito PR Mk VIII, built as a stopgap pending the introduction of the refined PR Mk IX, was the next photo-reconnaissance version. The five VIIIs were converted from B Mk IVs and became the first operational Mosquito version to be powered by two-stage, two-speed supercharged engines, using Rolls-Royce Merlin 61 engines in place of Merlin 21/22s. The first PR Mk VIII, DK324 first flew on 20 October 1942. The PR Mk VIII had a maximum speed of , an economical cruise speed of at 20,000 ft, and at 30,000 ft, a ceiling of , a range of , and a climb rate of 2,500 ft per minute (760 m). The Mosquito PR Mk IX, 90 of which were built, was the first Mosquito variant with two-stage, two-speed engines to be produced in quantity; the first of these, LR405, first flew in April 1943. The PR Mk IX was based on the Mosquito B Mk IX bomber and was powered by two Merlin 72/73 or 76/77 engines. It could carry either two , two or two droppable fuel tanks. The Mosquito PR Mk XVI had a pressurised cockpit and, like the Mk IX, was powered by two Rolls-Royce Merlin 72/73 or 76/77 piston engines. This version was equipped with three overload fuel tanks, totalling in the bomb bay, and could also carry two or drop tanks. A total of 435 of the PR Mk XVI were built. The PR Mk XVI had a maximum speed of , a cruise speed of , ceiling of , a range of , and a climb rate of 2,900 feet per minute (884 m). The Mosquito PR Mk 32 was a long-range, high-altitude, pressurised photo-reconnaissance version. It was powered by a pair of two-stage supercharged Rolls-Royce Merlin 113 and Merlin 114 piston engines, the Merlin 113 on the starboard side and the Merlin 114 on the port. First flown in August 1944, only five were built and all were conversions from PR.XVIs. The Mosquito PR Mk 34 and PR Mk 34A was a very long-range unarmed high altitude photo-reconnaissance version. The fuel tank and cockpit protection armour were removed. Additional fuel was carried in a bulged bomb bay: 1,192 gallons—the equivalent of . A further two 200-gallon (910-litre) drop tanks under the outer wings gave a range of cruising at . Powered by two Merlin 114s first used in the PR.32. The port Merlin 114 drove a Marshal cabin supercharger. A total of 181 were built, including 50 built by Percival Aircraft Company at Luton. The PR.34's maximum speed (TAS) was at sea level, at and at . All PR.34s were installed with four split F52 vertical cameras, two forward, two aft of the fuselage tank and one F24 oblique camera. Sometimes a K-17 camera was used for air surveys. In August 1945, the PR.34A was the final photo-reconnaissance variant with one Merlin 113A and 114A each delivering . Colonel Roy M. Stanley II, USAF (RET) wrote: "I consider the Mosquito the best photo-reconnaissance aircraft of the war". After the end of World War II Spartan Air Services used 10 ex-RAF Mosquitoes, mostly B.35's plus one of only six PR.35's built, for high-altitude photographic survey work in Canada. Bombers On 21 June 1941 the Air Ministry ordered that the last 10 Mosquitos, ordered as photo-reconnaissance aircraft, should be converted to bombers. These 10 aircraft were part of the original 1 March 1940 production order and became the B Mk IV Series 1. W4052 was to be the prototype and flew for the first time on 8 September 1941. The bomber prototype led to the B Mk IV, of which 273 were built: apart from the 10 Series 1s, all of the rest were built as Series 2s with extended nacelles, revised exhaust manifolds, with integrated flame dampers, and larger tailplanes. Series 2 bombers also differed from the Series 1 in having an increased payload of four bombs, instead of the four bombs of Series 1. This was made possible by cropping, or shortening the tail of the bomb so that these four heavier weapons could be carried (or a 2,000 lb (920;kg) total load). The B Mk IV entered service in May 1942 with 105 Squadron. In April 1943 it was decided to convert a B Mk IV to carry a Blockbuster bomb (nicknamed a Cookie). The conversion, including modified bomb bay suspension arrangements, bulged bomb bay doors and fairings, was relatively straightforward and 54 B.IVs were modified and distributed to squadrons of the Light Night Striking Force. 27 B Mk IVs were later converted for special operations with the Highball anti-shipping weapon, and were used by 618 Squadron, formed in April 1943 specifically to use this weapon. A B Mk IV, DK290 was initially used as a trials aircraft for the bomb, followed by DZ471,530 and 533. The B Mk IV had a maximum speed of , a cruising speed of , ceiling of , a range of , and a climb rate of 2,500 ft per minute (12.7 m/s). Other bomber variants of the Mosquito included the Merlin 21 powered B Mk V high-altitude version. Trials with this configuration were made with W4057, which had strengthened wings and two additional fuel tanks, or alternatively, two bombs. This design was not produced in Britain, but formed the basic design of the Canadian-built B.VII. Only W4057 was built in prototype form. The Merlin 31 powered B Mk VII was built by de Havilland Canada and first flown on 24 September 1942. It only saw service in Canada, 25 were built. Six were handed over to the United States Army Air Forces. B Mk IX (54 built) was powered by the Merlin 72,73, 76 or 77. The two-stage Merlin variant was based on the PR.IX. The prototype DK 324 was converted from a PR.VIII and first flew on 24 March 1943. In October 1943 it was decided that all B Mk IVs and all B Mk IXs then in service would be converted to carry the "Cookie", and all B Mk IXs built after that date were designed to allow them to be converted to carry the weapon. The B Mk IX had a maximum speed of , an economical cruise speed of at 20,000 ft, and at 30,000 ft, ceiling of , a range of , and a climb rate of 2,850 feet per minute (14.5 m/s). The IX could carry a maximum load of of bombs. A Mosquito B Mk IX holds the record for the most combat operations flown by an Allied bomber in the Second World War. LR503, known as "F for Freddie" (from its squadron code letters, GB*F), first served with No. 109 and subsequently, No. 105 RAF squadrons. It flew 213 sorties during the war, only to crash at Calgary airport during the Eighth Victory Loan Bond Drive on 10 May 1945, two days after Victory in Europe Day, killing both the pilot, Flt. Lt. Maurice Briggs, DSO, DFC, DFM and navigator Fl. Off. John Baker, DFC and Bar. The B Mk XVI was powered by the same variations as the B.IX. All B Mk XVIs were capable of being converted to carry the "Cookie". The two-stage powerplants were added along with a pressurised cabin. DZ540 first flew on 1 January 1944. The prototype was converted from a IV (402 built). The next variant, the B Mk XX, was powered by Packard Merlins 31 and 33s. It was the Canadian version of the IV. Altogether, 245 were built. The B Mk XVI had a maximum speed of , an economical cruise speed of at 20,000 ft, and at 30,000 ft, ceiling of , a range of , and a climb rate of 2,800 ft per minute (14 m/s). The type could carry of bombs. The B.35 was powered by Merlin 113 and 114As. Some were converted to TT.35s (Target Tugs) and others were used as PR.35s (photo-reconnaissance). The B.35 had a maximum speed of , a cruising speed of , ceiling of , a range of , and a climb rate of 2,700 ft per minute (13.7 m/s). A total of 174 B.35s were delivered up to the end of 1945. A further 100 were delivered from 1946 for a grand total of 274, 65 of which were built by Airspeed Ltd. Fighters Developed during 1940, the first prototype of the Mosquito F Mk II was completed on 15 May 1941. These Mosquitos were fitted with four Hispano cannon in the fuselage belly and four .303 (7.7 mm) Browning machine guns mounted in the nose. On production Mk IIs the machine guns and ammunition tanks were accessed via two centrally hinged, sideways opening doors in the upper nose section. To arm and service the cannon the bomb bay doors were replaced by manually operated bay doors: the F and NF Mk IIs could not carry bombs. The type was also fitted with a gun camera in a compartment above the machine guns in the nose and was fitted with exhaust flame dampers to reduce the glare from the Merlin XXs. In the summer of 1942, Britain experienced day-time incursions of the high-altitude reconnaissance bomber, the Junkers Ju 86P. Although the Ju 86P only carried a light bomb load, it overflew sensitive areas, including Bristol, Bedfordshire and Hertfordshire. Bombs were dropped on Luton and elsewhere, and this particular aircraft was seen from the main de Havilland offices and factory at Hatfield. An attempt to intercept it with a Spitfire from RAF Manston was unsuccessful. As a result of the potential threat, a decision was quickly taken to develop a high-altitude Mosquito interceptor, using the MP469 prototype. MP469 entered the experimental shop on 7 September and made its initial flight on 14 September, piloted by John de Havilland. The bomber nose was altered using a normal fighter nose, armed with four standard .303 (7.7 mm) Browning machine guns. The low pressure cabin retained a bomber canopy structure and a two-piece windscreen. The control wheel was replaced with a fighter control stick. The wingspan was increased to . The airframe was lightened by removing armour plating, some fuel tanks and other fitments. Smaller-diameter main wheels were fitted after the first few flights. At a loaded weight of this HA Mk XV was lighter than a standard Mk II. For this first conversion, the engines were a pair of Merlin 61s. On 15 September, John de Havilland reached an altitude of in this version. The aircraft was delivered to a High Altitude Flight which had been formed at RAF Northolt. However, the high-level German daylight intruders were no longer to be seen. It was subsequently revealed that only five Ju 86P aircraft had been built and they had only flown 12 sorties. Nevertheless, the general need for high altitude interceptors was recognised – but now the emphasis was to be upon night fighters. The A&AEE tested the climb and speed of night fighter conversion of MP469 in January 1943 for the Ministry of Aircraft Production. Wingspan had been increased to , the Brownings had been moved to a fairing below the fuselage. According to Birtles, an AI radar was mounted in the nose and the Merlins were upgraded to Mk76 type, although Boscombe Down reported Merlin 61s. In addition to MP469, four more B Mk IVs were converted into NF MK XVs. The Fighter Interception Unit at RAF Ford carried out service trials, March 1943, and then these five aircraft went to 85 Squadron, Hunsdon, where they were flown from April until August of that year. The greatest height reached in service was . Apart from the F Mk XV, all Mosquito fighters and fighter bombers featured a modified canopy structure incorporating a flat, single piece armoured windscreen, and the crew entry/exit door was moved from the bottom of the forward fuselage to the right side of the nose, just forward of the wing leading edge. Night fighters At the end of 1940, the Air Staff's preferred turret-equipped night fighter design to Operational Requirement O.R. 95 was the Gloster F.18/40 (derived from their F.9/37). However, although in agreement as to the quality of the Gloster company's design, the Ministry of Aircraft Production was concerned that Gloster would not be able to work on the F.18/40 and also the jet fighter design, considered the greater priority. Consequently, in mid-1941 the Air Staff and MAP agreed that the Gloster aircraft would be dropped and the Mosquito, when fitted with a turret would be considered for the night fighter requirement. The first production night fighter Mosquitos – minus turrets – were designated NF Mk II. A total of 466 were built with the first entering service with No. 157 Squadron in January 1942, replacing the Douglas Havoc. These aircraft were similar to the F Mk II, but were fitted with the AI Mk IV metric wavelength radar. The herring-bone transmitting antenna was mounted on the nose and the dipole receiving antennae were carried under the outer wings. A number of NF IIs had their radar equipment removed and additional fuel tanks installed in the bay behind the cannon for use as night intruders. These aircraft, designated NF II (Special) were first used by 23 Squadron in operations over Europe in 1942. 23 Squadron was then deployed to Malta on 20 December 1942, and operated against targets in Italy. Ninety-seven NF Mk IIs were upgraded with 3.3 GHz frequency, low-SHF-band AI Mk VIII radar and these were designated NF Mk XII. The NF Mk XIII, of which 270 were built, was the production equivalent of the Mk XII conversions. These "centimetric" radar sets were mounted in a solid "thimble" (Mk XII / XIII) or universal "bull nose" (Mk XVII / XIX) radome, which required the machine guns to be dispensed with. Four F Mk XVs were converted to the NF Mk XV. These were fitted with AI Mk VIII in a "thimble" radome, and the .303 Brownings were moved into a gun pack fitted under the forward fuselage. NF Mk XVII was the designation for 99 NF Mk II conversions, with single-stage Merlin 21, 22, or 23 engines, but British AI.X (US SCR-720) radar. The NF Mk XIX was an improved version of the NF XIII. It could be fitted with American or British AI radars; 220 were built. The NF Mk 30 was the final wartime variant and was a high-altitude version, powered by two Rolls-Royce Merlin 76s. The NF Mk 30 had a maximum speed of at . It also carried early electronic countermeasures equipment. 526 were built. Other Mosquito night fighter variants planned but never built included the NF Mk X and NF Mk XIV (the latter based on the NF Mk XIII), both of which were to have two-stage Merlins. The NF Mk 31 was a variant of the NF Mk 30, but powered by Packard Merlins. After the war, two more night fighter versions were developed: The NF Mk 36 was similar to the Mosquito NF Mk 30, but fitted with the American-built AI.Mk X radar. Powered by two Rolls-Royce Merlin 113/114 piston engines; 266 built. Max level speeds (TAS) with flame dampers fitted were at sea level, at , and at . The NF Mk 38, 101 of which were built, was also similar to the Mosquito NF Mk 30, but fitted with the British-built AI Mk IX radar. This variant suffered from stability problems and did not enter RAF service: 60 were eventually sold to Yugoslavia. According to the Pilot's Notes and Air Ministry 'Special Flying Instruction TF/487', which posted limits on the Mosquito's maximum speeds, the NF Mk 38 had a VNE of 370 knots (425 mph), without under-wing stores, and within the altitude range of sea level to . However, from 10,000 to the maximum speed was 348 knots (400 mph). As the height increased other recorded speeds were; 15,000 to 320 knots (368 mph); 20,000 to , 295 knots (339 mph); 25,000 to , 260 knots (299 mph); 30,000 to , 235 knots (270 mph). With two added 100-gallon fuel tanks this performance fell; between sea level and 15,000 feet 330 knots (379 mph); between 15,000 and 320 knots (368 mph); 20,000 to , 295 knots (339 mph); 25,000 to , 260 knots (299 mph); 30,000 to , 235 knots (270 mph). Little difference was noted above . Strike ("fighter-bomber") variants The FB Mk VI, which first flew on 1 June 1942, was powered by two, single-stage two-speed, Merlin 21s or Merlin 25s, and introduced a re-stressed and reinforced "basic" wing structure capable of carrying single bombs on racks housed in streamlined fairings under each wing, or up to eight RP-3 25lb or 60 lb rockets. In addition fuel lines were added to the wings to enable single or drop tanks to be carried under each wing. The usual fixed armament was four 20 mm Hispano Mk.II cannon and four .303 (7.7 mm) Browning machine guns, while two bombs could be carried in the bomb bay. Unlike the F Mk II, the ventral bay doors were split into two pairs, with the forward pair being used to access the cannon, while the rear pair acted as bomb bay doors. The maximum fuel load was distributed between internal fuel tanks, plus two overload tanks, each of capacity, which could be fitted in the bomb bay, and two drop tanks. All-out level speed is often given as , although this speed applies to aircraft fitted with saxophone exhausts. The test aircraft (HJ679) fitted with stub exhausts was found to be performing below expectations. It was returned to de Havilland at Hatfield where it was serviced. Its top speed was then tested and found to be , in line with expectations. 2,298 FB Mk VIs were built, nearly one-third of Mosquito production. Two were converted to TR.33 carrier-borne, maritime strike prototypes. The FB Mk VI proved capable of holding its own against fighter aircraft, in addition to strike/bombing roles. For example, on 15 January 1945 Mosquito FB Mk VIs of 143 Squadron were engaged by 30 Focke-Wulf Fw 190s from Jagdgeschwader 5: the Mosquitos sank an armed trawler and two merchant ships, but five Mosquitos were lost (two reportedly to flak), while shooting down five Fw 190s. Another fighter-bomber variant was the Mosquito FB Mk XVIII (sometimes known as the Tsetse) of which one was converted from a FB Mk VI to serve as prototype and 17 were purpose-built. The Mk XVIII was armed with a Molins "6-pounder Class M" cannon: this was a modified QF 6-pounder (57 mm) anti-tank gun fitted with an auto-loader to allow both semi- or fully automatic fire. 25 rounds were carried, with the entire installation weighing . In addition, of armour was added within the engine cowlings, around the nose and under the cockpit floor to protect the engines and crew from heavily armed U-boats, the intended primary target of the Mk XVIII. Two or four .303 (7.7 mm) Browning machine guns were retained in the nose and were used to "sight" the main weapon onto the target. The Air Ministry initially suspected that this variant would not work, but tests proved otherwise. Although the gun provided the Mosquito with yet more anti-shipping firepower for use against U-boats, it required a steady approach run to aim and fire the gun, making its wooden construction an even greater liability, in the face of intense anti-aircraft fire. The gun had a muzzle velocity of and an excellent range of some . It was sensitive to sidewards movement; an attack required a dive from at a 30° angle with the turn and bank indicator on centre. A move during the dive could jam the gun. The prototype HJ732 was converted from a FB.VI and was first flown on 8 June 1943. The effect of the new weapon was demonstrated on 10 March 1944 when Mk XVIIIs from 248 Squadron (escorted by four Mk VIs) engaged a German convoy of one U-boat and four destroyers, protected by 10 Ju 88s. Three of the Ju 88s were shot down. Pilot Tony Phillips destroyed one Ju 88 with four shells, one of which tore an engine off the Ju 88. The U-boat was damaged. On 25 March, was sunk by Molins-equipped Mosquitos. On 10 June, was abandoned in the face of intense air attack from No. 248 Squadron, and was later sunk by a Liberator of No. 206 Squadron. On 5 April 1945 Mosquitos with Molins attacked five German surface ships in the Kattegat and again demonstrated their value by setting them all on fire and sinking them. A German Sperrbrecher ("minefield breaker") was lost with all hands, with some 200 bodies being recovered by Swedish vessels. Some 900 German soldiers died in total. On 9 April, German U-boats , and were spotted in formation heading for Norway. All were sunk with rockets. and followed on 19 April and 2 May 1945, also sunk by rockets. Despite the preference for rockets, a further development of the large gun idea was carried out using the even larger, 96 mm calibre QF 32-pounder, a gun based on the QF 3.7-inch AA gun designed for tank use, the airborne version using a novel form of muzzle brake. Developed to prove the feasibility of using such a large weapon in the Mosquito, this installation was not completed until after the war, when it was flown and fired in a single aircraft without problems, then scrapped. Designs based on the Mk VI were the FB Mk 26, built in Canada, and the FB Mk 40, built in Australia, powered by Packard Merlins. The FB.26 improved from the FB.21 using single stage Packard Merlin 225s. Some 300 were built and another 37 converted to T.29 standard. 212 FB.40s were built by de Havilland Australia. Six were converted to PR.40; 28 to PR.41s, one to FB.42 and 22 to T.43 trainers. Most were powered by Packard-built Merlin 31 or 33s. Trainers The Mosquito was also built as the Mosquito T Mk III two-seat trainer. This version, powered by two Rolls-Royce Merlin 21s, was unarmed and had a modified cockpit fitted with dual control arrangements. A total of 348 of the T Mk III were built for the RAF and Fleet Air Arm. de Havilland Australia built 11 T Mk 43 trainers, similar to the Mk III. Torpedo-bombers To meet specification N.15/44 for a navalised Mosquito for Royal Navy use as a torpedo bomber, de Havilland produced a carrier-borne variant. A Mosquito FB.VI was modified as a prototype designated Sea Mosquito TR Mk 33 with folding wings, arrester hook, thimble nose radome, Merlin 25 engines with four-bladed propellers and a new oleo-pneumatic landing gear rather than the standard rubber-in-compression gear. Initial carrier tests of the Sea Mosquito were carried out by Eric "Winkle" Brown aboard HMS Indefatigable, the first landing-on taking place on 25 March 1944. An order for 100 TR.33s was placed although only 50 were built at Leavesden. Armament was four 20 mm cannon, two 500 lb bombs in the bomb bay (another two could be fitted under the wings), eight 60 lb rockets (four under each wing) and a standard torpedo under the fuselage. The first production TR.33 flew on 10 November 1945. This series was followed by six Sea Mosquito TR Mk 37s, which differed in having ASV Mk XIII radar instead of the TR.33's AN/APS-6. Target tugs The RAF's target tug version was the Mosquito TT Mk 35, which were the last aircraft to remain in operational service with No 3 CAACU at Exeter, being finally retired in 1963. These aircraft were then featured in the film 633 Squadron. A number of B Mk XVIs bombers were converted into TT Mk 39 target tug aircraft. The Royal Navy also operated the Mosquito TT Mk 39 for target towing. Two ex-RAF FB.6s were converted to TT.6 standard at Manchester (Ringway) Airport by Fairey Aviation in 1953–1954, and delivered to the Belgian Air Force for use as towing aircraft from the Sylt firing ranges. Canadian-built A total of 1,032 (wartime + 2 afterwards) Mosquitos were built by De Havilland Canada at Downsview Airfield in Downsview Ontario (now Downsview Park in Toronto Ontario). Mosquito B Mk VII : Canadian version based on the Mosquito B Mk V bomber aircraft. Powered by two Packard Merlin 31 piston engines; 25 built. Mosquito B Mk XX : Canadian version of the Mosquito B Mk IV bomber aircraft; 145 built, of which 40 were converted into F-8 photo-reconnaissance aircraft for the USAAF. Mosquito FB Mk 21 : Canadian version of the Mosquito FB Mk VI fighter-bomber aircraft. Powered by two Rolls-Royce Merlin 31 piston engines, three built. Mosquito T Mk 22 : Canadian version of the Mosquito T Mk III training aircraft. Mosquito B Mk 23 : Unused designation for a bomber variant. Mosquito FB Mk 24 : Canadian fighter-bomber version. Powered by two Rolls-Royce Merlin 301 piston engines; two built. Mosquito B Mk 25 : Improved version of the Mosquito B Mk XX Bomber aircraft. Powered by two Packard Merlin 225 piston engines; 400 built. Mosquito FB Mk 26 : Improved version of the Mosquito FB Mk 21 fighter-bomber aircraft. Powered by two Packard Merlin 225 piston engines; 338 built. Mosquito T Mk 27 : Canadian-built training aircraft. Mosquito T Mk 29 : A number of FB Mk 26 fighters were converted into T Mk 29 trainers. Australian-built Mosquito FB Mk 40 : Two-seat fighter-bomber version for the RAAF. Powered by two Rolls-Royce Merlin 31 piston engines. A total of 178 built in Australia. Mosquito PR Mk 40 : This designation was given to six FB Mk 40s, which were converted into photo-reconnaissance aircraft. Mosquito FB Mk 41 : Two-seat fighter-bomber version for the RAAF. A total of 11 were built in Australia. Mosquito PR Mk 41 : Two-seat photo-survey version for the RAAF. A total of 17 were built in Australia. Mosquito FB Mk 42 : Two-seat fighter-bomber version. Powered by two Rolls-Royce Merlin 69 piston engines. One FB Mk 40 aircraft was converted into a Mosquito FB Mk 42. Mosquito T Mk 43 : Two-seat training version for the RAAF. A total of 11 FB Mk 40s were converted into Mosquito T Mk 43s. Highball A number of Mosquito IVs were modified by Vickers-Armstrongs to carry Highball "bouncing bombs" and were allocated Vickers Type numbers: Type 463 – Prototype Highball conversion of Mosquito IV DZ741. Type 465 – Conversion of 33 Mosquito IVs to carry Highball. Production About 5,000 of the total of 7,781 Mosquitos built had major structural components fabricated from wood in High Wycombe, Buckinghamshire, England. Fuselages, wings and tailplanes were made at furniture companies such as Ronson, E. Gomme, Parker Knoll, Austinsuite and Styles & Mealing. Wing spars were made by J. B. Heath and Dancer & Hearne. Many of the other parts, including flaps, flap shrouds, fins, leading edge assemblies and bomb doors were also produced in the Buckinghamshire town. Dancer & Hearne processed much of the wood from start to finish, receiving timber and transforming it into finished wing spars at their factory in Penn Street on the outskirts of High Wycombe. Initially much of the specialised yellow birch wood veneer and finished plywood used for the prototypes and early production aircraft was shipped from firms in Wisconsin, US. Prominent in this role were Roddis Plywood and Veneer Manufacturing in Marshfield. In conjunction with the USDA Forest Products Laboratory, Hamilton Roddis had developed new plywood adhesives and hot pressing technology. Later on, paper birch was logged in large quantities from the interior of British Columbia along the Fraser and Quesnel Rivers and processed in Quesnel and New Westminster by the Pacific Veneer Company. According to the Quesnel archives, BC paper birch supplied ½ of the wartime British Empire birch used for Mosquitos and other aircraft. As the supply of Equadorean balsa was threatened by the U-boats in the Atlantic Ocean, the Ministry of Aircraft Production approved a research effort to supplant the balsa with calcium alginate foam, made from local brown algae. By 1944 the foam was ready, but the U-boat threat had been reduced, the larger B-25 bombers were in sufficient supply to handle most of the bombing raids, and the foam was not used in Mosquito production. Canada In July 1941, it was decided that DH Canada would build Mosquitos at Downsview, Ontario. This was to continue even if Germany invaded Great Britain. Packard Merlin engines produced under licence were bench-tested by August and the first two aircraft were built in September. Production was to increase to fifty per month by early 1942. Initially, the Canadian production was for bomber variants; later, fighters, fighter-bombers and training aircraft were also made. DH Chief Production Engineer, Harry Povey, was sent first, then W. D. Hunter followed on an extended stay, to liaise with materials and parts suppliers. As was the case with initial UK production, Tego-bonded plywood and birch veneer was obtained from firms in Wisconsin, principally Roddis Plywood and Veneer Manufacturing, Marshfield. Enemy action delayed the shipping of jigs and moulds and it was decided to build these locally. During 1942, production improved to over 80 machines per month, as sub-contractors and suppliers became established. A mechanised production line based in part on car building methods started in 1944. As the war progressed, Canadian mosquitos may have utilized paper birch supplied by the Pacific Veneer Company of New Westminster using birch logs from the Cariboo, although records only say this birch was shipped to England for production there. When flight testing could no longer keep up, this was moved to the Central Aircraft Company airfield, London, Ontario, where the approved Mosquitos left for commissioning and subsequent ferry transfer to Europe. Ferrying Mosquitos and many other types of WWII aircraft from Canada to Europe was dangerous, resulting in losses of lives and machines, but in the exigencies of war it was regarded as the best option for twin-engine and multi-engine aircraft. In the parlance of the day, among RAF personnel, "it was no piece of cake." Considerable efforts were made by de Havilland Canada to resolve problems with engine and oil systems and an additional five hours of flight testing were introduced before the ferry flight, but the actual cause of some of the losses was unknown. Nevertheless, by the end of the war, nearly 500 Mosquito bombers and fighter-bombers had been ferried successfully by the Canadian operation. After DH Canada had been established for the Mosquito, further manufacturing was set up at DH Australia, in Sydney. One of the DH staff who travelled there was the distinguished test pilot, Pat Fillingham. These production lines added totals of 1,133 aircraft of varying types from Canada plus 212 aircraft from Australia. Exports In total, both during the war and after, de Havilland exported 46 FB.VIs and 29 PR. XVIs to Australia; two FB.VI and 18 NF.30s to Belgium; approximately 250 FB.26, T.29 and T.27s from Canada to Nationalist China. A significant number never went into service due to deterioration on the voyage and to crashes during Chinese pilot training; however, five were captured by the People's Liberation Army during the Chinese Civil War; 19 FB.VIs to Czechoslovakia in 1948; 6 FB.VIs to Dominica; a few B.IVs, 57 FB.VIs, 29 PR.XVIs and 23 NF.30s to France. Some T.IIIs were exported to Israel along with 60 FB.VIs, and at least five PR.XVIs and 14 naval versions. Four T.IIIs, 76 FB.VIs, one FB.40 and four T.43s were exported to New Zealand. Three T.IIIs were exported to Norway, and 18 FB.VIs, which were later converted to night fighter standard. South Africa received two F.II and 14 PR.XVI/XIs and Sweden received 60 NF.XIXs. Turkey received 96 FB.VIs and several T.IIIs, and Yugoslavia had 60 NF.38s, 80 FB.VIs and three T.IIIs delivered. At least a single de Havilland Mosquito was delivered to the Soviet Union marked 'DK 296'. Sites Total Mosquito production was 7,781, of which 6,710 were built during the war. Civilian accidents and incidents A number of Mosquitos were lost in civilian airline service, mostly with British Overseas Airways Corporation during World War II. On 17 August 1943, G-AGGF crashed near Glenshee, Perthshire. On 25 October 1943, G-AGGG crashed near RAF Leuchars. On 3 January 1944, de Havilland Mosquito G-AGGD stalled on landing at Såtenäs, Sweden, and was written off. On 19 August 1944, de Havilland Mosquito G-AGKP crashed into the North Sea off Leuchars, Fife. All three people on board were killed. On 29 August 1944, de Havilland Mosquito G-AGKR disappeared on a flight from Gothenburg, Sweden, to RAF Leuchars with the loss of both crew members. What was probably the crash that affected the Mosquito the most in recent times was on 21 July 1996, when de Havilland Mosquito G-ASKH, wearing the markings of RR299, crashed 1 mile west of Manchester Barton Airport. Pilot Kevin Moorhouse and Engineer Steve Watson were both killed in the crash. At the time, this was the last airworthy Mosquito T.III. Operators Surviving aircraft There are approximately 30 non-flying Mosquitos around the world with four airworthy examples, three in the United States and one in Canada. The largest collection of Mosquitos is at the de Havilland Aircraft Heritage Centre in the United Kingdom, which owns three aircraft, including the first prototype, W4050, the only initial prototype of a Second World War British aircraft design still in existence in the 21st century. Specifications (B Mk.XVI) Notable appearances in media See also Notes References Citations Sources Air Ministry. Pilot's Notes For Mosquito B IV. London: 1943. A.P.2019D-PN. Air Ministry. Pilot's Notes For Mosquito, Marks VIII and IX, Mark XVI. London: 1944. A.P.2653A, B, F, H & J-PN. Air Ministry. Pilot's Notes For Mosquito FB 6. London: 1945. . Air Ministry. Pilot's Notes For Mosquito NF 38. London: 1945. . Batchelor, John and Malcolm Low. de Havilland Mosquito Manual (Plane Essentials). Victoria, Australia: Publishing Solutions, 2008. . Bird, Andrew. A Separate Little War. London, UK: Grub Street, 2003. . Birtles, Philip. De Havilland Mosquito: The Original Multirole Combat Aircraft. Stroud, England: Fonthill Media, 2017. . Bishop, Edward. The Wooden Wonder. Shrewsbury, UK: Airlife Publishing Ltd., 3rd edition 1995. . Boiten, Theo. Nachtjagd: the night fighter versus bomber war over the Third Reich, 1939–45. Crowood Press Ltd, 1997 London. Boog, Horst, Gerhard Krebs and Detlef Vogel. Germany and the Second World War: Volume VII: The Strategic Air War in Europe and the War in the West and East Asia, 1943-1944/5. Oxford, UK: Clarendon Press, 2006. . Bowman, Martin. de Havilland Mosquito (Crowood Aviation series). Ramsbury, Marlborough, Wiltshire, UK: The Crowood Press, 2005. . Bowman, Martin. Mosquito Bomber/Fighter-bomber Units 1942–45. Oxford, UK: Osprey Publishing, 1997. . Bowman, Martin. Mosquito Fighter/Fighter-bomber Units of World War 2. Oxford, UK: Osprey Publishing, 1998. . Bowman, Martin. Mosquito Photo-Reconnaissance Units of World War 2. Oxford, UK: Osprey Publishing, 1999. . Bowyer, Chaz. Mosquito at War. Shepperton, Surrey, UK: Ian Allan Ltd., 4th impression 1979. . Bowyer, Michael J.F., Bryan Philpott and Stuart Howe. Mosquito (Classic Aircraft No. 7: Their History and How to Model Them). Cambridge, UK: Patrick Stephens Ltd., 1980. . Bridgman, Leonard, ed. "The D.H.98 Mosquito." Jane's Fighting Aircraft of World War II. London: Studio, 1946. . Buttler, Tony. British Secret Projects: Fighters & Bombers 1935–1950. Hinckley, UK: Midland Publishing, 2004. . Caldwell, Donald L. and Richard Muller. The Luftwaffe Over Germany: Defense of the Reich . London: Greenhill MBI Publishing Company, 2007. Cole, Roger. High Wycombe – Local History Series. Stroud, Gloucestershire, UK: Tempus Publishing Ltd., 2001. . Connor, Sara Witter, Hamilton Roddis Memorial Lecture Series No. 11. Wisconsin Flying Trees: Wisconsin Plywood Industry's Contribution to WWII. Department of Forest & Wildlife Ecology, Kemp Natural Resources Station, College of Agricultural and Life Sciences, University of Wisconsin – Madison 31 January 2007. Wayback Machine. Christie, Carl A. Ocean Bridge – The history of RAF Ferry Command Midland Publishing, Leicester, England, 1995. . Harris, Sir Arthur T. et al. Despatch on War Operations – 23rd. February 1942 to 8th. May 1945. Frank Cass, England, 1993. . Hotson, Fred. The De Havilland Canada Story. Toronto: CANAV Books, 1983. . Malayney, Norman, The 25th Bomb Group (Rcn) History in WWII, Schiffer Publishers Ltd. 2011.. Miracle, Daniel B. and Steven L. Donaldson. ASM Handbook: Composites. Cleveland, Ohio: ASM International, 2001. . Mujumdar, A. S. Drying '92: Proceedings of the 8th International Drying Symposium. Toronto: Elsevier, 1992. . Rhodes, Tom. Stress Without Tears. Jacobs Publishing, 1st edition 1 December 2008. . Scott, Stuart R. "Mosquito Thunder: No. 105 Squadron RAF at war 1942-5." Sutton Publishing, Stroud, Gloucestershire, UK, 1999. . Scutts, Jerry. Mosquito in Action, Part 2. Carrollton, Texas: Squadron/Signal Publications Inc., 1993. . Sharp, C. Martin and Michael J.F. Bowyer. Mosquito. London: Faber & Faber, 1971. . Sharp, C. Martin and Michael J.F. Bowyer. Mosquito (2nd ed.). Manchester, UK: Crécy Books Ltd, 1995. . Simons, Graham M. Mosquito: The Original Multi-Role Combat Aircraft. Barnsley, Yorkshire, UK: Pen & Sword, 2011. Streetly, Martin. "The Aircraft of 100 Group: Part 14. DH Mosquito, Internal Detail". Scale Models, Volume 12, Issue 139, April 1981. Stroud, John. "Wings of Peace:- de Havilland Albatross." Aeroplane Monthly,, Volume 18, Issue 206, June 1990. Thirsk, Ian.de Havilland Mosquito: An Illustrated History Volume 2. Manchester, UK: Crécy Publishing Limited, 2006. . Thomas, Geoffrey J. and Barry Ketely. KG 200: The Luftwaffe's Most Secret Unit. Tokyo: Hikoki Publications, 2003. . Wooldridge, John de L. Low Attack – The story of two Mosquito squadrons, 1940–1943. Crecy Books, England, 1993. . Further reading Anoni, Shlomo. "The Last of the Wooden Wonders: The DH Mosquito in Israeli Service". Air Enthusiast, No. 83, September–October 1999, pp. 30–51. Birtles, Philip. Mosquito: A Pictorial History of the DH98. London: Jane's Publishing Company Ltd., 1980. . Birtles, Philip. De Havilland Mosquito: The Original Multirole Combat Aircraft. Stroud, England: Fonthill Media, 2017. . Gilman J.D. and J. Clive. KG 200. London: Pan Books, 1978. . Hardy, M.J. The de Havilland Mosquito. Devon, UK/New York: David & Charles (Publishers) Ltd./Arco Publishing, 1977. , (David & Charles) (Arco). Hinchcliffe, Peter. The Other Battle: Luftwaffe Night Aces vs Bomber Command. London: Zenith Press, 1996. . Holliday, Joe. Mosquito! The Wooden Wonder Aircraft of World War II. Toronto: Doubleday, 1970. . Howe, Stuart. Mosquito Portfolio. London: Ian Allan Ltd., 1984. . Jackson, Robert. de Havilland Mosquito (Combat Legend). Shrewsbury, UK: Airlife Publishing Ltd., 2003. . Jones, R.C. de Havilland Mosquito: RAF Northern Europe 1936–45. London: Ducimus Books Ltd., 1970. Mason, Francis K. and Richard Ward. De Havilland Mosquito in RAF-FAA-RAAF-SAAF-RNZAF-RCAF-USAAF-French & Foreign Service. Canterbury, Kent, UK: Osprey Publishing Ltd., 1972. . McKee, Alexander. The Mosquito Log. London: Souvenir Press Ltd., 1988. . Morgan, Hugh and John Weal. German Jet Aces of World War 2. London: Osprey Publishing Ltd, 1998. . Price, Nigel (ed.). "Mosquito: A Celebration of de Havilland's 'Wooden Wonder'." FlyPast Special. Stamford, Lincolnshire, UK: Key Publishing Ltd., 2009. Radinger, Will and Walter Schick. Me262 (German lang. ed.), Berlin: Avantic Verlag GmbH, 1996. . Sasbye, Kjeld Mahler. Operation Carthage. Copenhagen: Den Danske Luftfartsskole, 1994. . Scholefield, R.A. Manchester Airport. Stroud, UK: Sutton Publishing, 1998. . Scutts, Jerry. Mosquito in Action, Part 1. Carrollton, Texas: Squadron/Signal Publications Inc., 1993. . Shacklady, Edward. De Havilland Mosquito (Classic WWII Aviation, Volume 6). Bristol, UK: Cerberus Publishing Ltd., 2003. . Stanley, Colonel Roy M. II, USAF (Ret). V-Weapons Hunt: Defeating German Secret Weapons. Barnsley, South Yorkshire, UK: Pen & Sword, 2010. . Sweetman, Bill and Rikyu Watanabe. Mosquito. London: Jane's Publishing Company Ltd., 1981. . External links The Mosquito Page at Mossie.org de Havilland Aircraft Heritage Centre a.k.a. Mosquito Aircraft Museum Calgary Mosquito Aircraft Preservation Association Victoria Air Maintenance Ltd. Restoring a Mosquito to flying condition The People's Mosquito Ltd. UK charity restoring Mosquito RL249 to flight. Website features WW2 colour film of the Mosquito de Havilland Mosquito magazine articles and publications Data at Warbirdregistry.org Mosquito restoration project New Zealand (633 Squadron theme) Retrieved: 3 January 2012. Wartime film of the construction of the Mosquito in Australia Retrieved: 3 January 2012. "Flying Plywood With A Sting": Popular Science article, December 1943 A close-up picture of the nose of a Tsetse Mosquito FB Mk XVIII showing the Molins 57 mm gun muzzle A photograph of the Tsetse Mosquito FB Mk XVIII NT225 "Mosquito Wars on U-Boats With 6-pound Shells.": Popular Mechanics article, February 1945, p. 39. Wartime footage of Coastal Command 57mm cannon and 60lb rocket-armed Mosquitos Mosquito Pathfinders, Pathfinder Museum 627 Squadron RAF Mosquito Pathfinders Based at RAF Woodall Spa Air Accidents Investigation Branch (AAIB) report on the crash of T.III G-ASKH, 1996 IWM Image of Mosquito PR34 RG241, which holds the twin piston-engine Atlantic crossing record. "America Reports On Aid To Allies etc. (1942)." Universal Newsreel "Mosquito Makes Base" a 1943 Flight article on a Mosquito Intruder's battle damage "'Pin-Point' Attack On One House by Mosquitoes" a 1944 Flight advertisement "The Magnificent Mosquito" a 1969 Flight article by Air Commodore Allen Wheeler Mosquito from the IBCC Digital Archive at the University of Lincoln. 1940s British bomber aircraft Mosquito Mosquito Mid-wing aircraft Reconnaissance aircraft Twin piston-engined tractor aircraft World War II British bombers World War II British fighter aircraft World War II British night fighter aircraft Aircraft first flown in 1940
9118
https://en.wikipedia.org/wiki/Duke%20Kahanamoku
Duke Kahanamoku
Duke Paoa Kahinu Mokoe Hulikohola Kahanamoku (August 24, 1890 – January 22, 1968) was a competition swimmer who popularized the sport of surfing. A Native Hawaiian, he was born to a minor noble family less than three years before the overthrow of the Hawaiian Kingdom. He lived to see the territory's admission as a state, and became a United States citizen. He was a five-time Olympic medalist in swimming, winning medals in 1912, 1920 and 1924. Kahanamoku joined fraternal organizations: he was a Scottish Rite Freemason in the Honolulu lodge, and a Shriner. He worked as a law enforcement officer, an actor, a beach volleyball player, and a businessman. Early years According to Kahanamoku, he was born in Honolulu at Haleʻākala, the home of Bernice Pauahi Bishop, which was later converted into the Arlington Hotel. He had five brothers, including Samuel and Sargent, and three sisters. In 1893, his family moved to Kālia, Waikiki (near the present site of Hilton Hawaiian Village), to be closer to his mother's parents and family. Kahanamoku grew up with his siblings and 31 Paoa cousins. He attended the Waikiki Grammar School, Kaahumanu School, and the Kamehameha Schools, although he never graduated because he had to quit to help support the family. "Duke" was not a title or a nickname, but a given name. He was named after his father, Duke Halapu Kahanamoku, who was christened by Bernice Pauahi Bishop in honor of Prince Alfred, Duke of Edinburgh, who was visiting Hawaii at the time. His father was a policeman. His mother Julia Paakonia Lonokahikina Paoa was a deeply religious woman with a strong sense of family ancestry. Although his parents were not part of the formal Hawaiian Royal Family, they were from prominent Hawaiian ohana (families). The Kahanamoku and the Paoa ohana were considered to be lower-ranking nobles, who were in service to the aliʻi nui, or royalty. His paternal grandfather was Kahanamoku and his grandmother, Kapiolani Kaoeha (sometimes spelled Kahoea), a descendant of Alapainui. They were kahu, retainers and trusted advisors of the Kamehamehas, to whom they were related. His maternal grandparents Paoa, son of Paoa Hoolae and Hiikaalani, and Mele Uliama, were also of aliʻi descent. Growing up on the outskirts of Waikiki, Kahanamoku spent much of his youth at the beach, where he developed his surfing and swimming skills. In his youth, Kahanamoku preferred a traditional surf board, which he called his "papa nui", constructed after the fashion of ancient Hawaiian olo boards. Made from the wood of a koa tree, it was long and weighed . The board was without a skeg, which had yet to be invented. In his later surfing career, he would often use smaller boards but always preferred those made of wood. Kahanamoku was also a powerful swimmer. On August 11, 1911, Kahanamoku was timed at 55.4 seconds in the freestyle, beating the existing world record by 4.6 seconds, in the salt water of Honolulu Harbor. He also broke the record in the and equaled it in the . But the Amateur Athletic Union (AAU), in disbelief, would not recognize these feats until many years later. The AAU initially claimed that the judges must have been using alarm clocks rather than stopwatches and later claimed that ocean currents aided Kahanamoku. He was initiated, passed and raised to the sublime degree of Master Mason in Hawaiian Lodge Masonic Lodge No 21 and was also a Noble (member) of the Shriners fraternal organization. Career Kahanamoku easily qualified for the U.S. Olympic swimming team in 1912. At the 1912 Summer Olympics in Stockholm, he won a gold medal in the 100-meter freestyle, and a silver medal with the second-place U.S. team in the men's 4×200-meter freestyle relay. During the 1920 Olympics in Antwerp, Kahanamoku won gold medals in both the 100 meters (bettering fellow Hawaiian Pua Kealoha) and in the relay. He finished the 100 meters with a silver medal during the 1924 Olympics in Paris, with the gold going to Johnny Weissmuller and the bronze to Kahanamoku's brother, Samuel. By then age 34, Kahanamoku won no more Olympic medals. But he served as an alternate for the U.S. water polo team at the 1932 Summer Olympics. Post-Olympic career Between Olympic competitions, and after retiring from the Olympics, Kahanamoku traveled internationally to give swimming exhibitions. It was during this period that he popularized the sport of surfing, previously known only in Hawaii, by incorporating surfing exhibitions into his touring exhibitions as well. He attracted people to surfing in mainland America first in 1912 while in Southern California. His surfing exhibition at Sydney, Australia's Freshwater Beach on December 24, 1914, is widely regarded as a seminal event in the development of surfing in Australia. The board that Kahanamoku built from a piece of pine from a local hardware store is retained by the Freshwater Surf Club. A statue of Kahanamoku was erected in his honor on the Northern headland of Freshwater Beach, New South Wales. During his time living in Southern California, Kahanamoku performed in Hollywood as a background actor and a character actor in several films. He made connections in this way with people who could further publicize the sport of surfing. Kahanamoku was involved with the Los Angeles Athletic Club, acting as a lifeguard and competing in both swimming and water polo teams. While living in Newport Beach, California, on June 14, 1925, Kahanamoku rescued eight men from a fishing vessel that capsized in heavy surf while it was attempting to enter the city's harbor. Using his surfboard, Kahanamoku made repeated trips from shore to the capsized ship, and helped rescue several people. Two other surfers saved four more fishermen, while five succumbed to the seas before they could be rescued. At the time the Newport Beach police chief called Kahanamoku's efforts "The most superhuman surfboard rescue act the world has ever seen." It also led to lifeguards across the US to begin using surfboards as standard equipment for water rescues. In 1940, Kahanamoku married Nadine Alexander, who accompanied him when he traveled. He was the first person to be inducted into both the Swimming Hall of Fame and the Surfing Hall of Fame. The Duke Kahanamoku Invitational Surfing Championships in Hawaii, the first major professional surfing contest event ever held in the huge surf on the North Shore of Oahu, was named in his honor. He is a member of the U.S. Olympic Hall of Fame. Later Kahanamoku was elected to serve as the Sheriff of Honolulu, Hawaii from 1932 to 1961, completing 13 consecutive terms. During World War II, he also served as a military police officer for the United States; Hawai'i was not yet a state and was administered. In the postwar period, he also appeared in a number of television programs and films, such as Mister Roberts (1955). He was well-liked throughout the Hollywood community. Kahanamoku became a friend and surfing companion of heiress Doris Duke. She built a home (now a museum) on Oahu named Shangri-la. Duncan v. Kahanamoku In 1946, Kahanamoku was the pro forma defendant in the landmark Supreme Court case Duncan v. Kahanamoku. While Kahanamoku was a military police officer during World War II, he arrested Duncan, a civilian shipfitter, for public intoxication. At the time, Hawaii, not yet a state, was being administered by the United States under the Hawaiian Organic Act. This effectively instituted martial law on the island. After Duncan was tried by a military tribunal, he appealed to the Supreme Court. In a post hoc ruling, the court ruled that trial by military tribunal for the civilian was, in this case, unconstitutional. Death and legacy Kahanamoku died of a heart attack on January 22, 1968, at age 77. For his burial at sea, a long motorcade of mourners, accompanied by a 30-man police escort, traveled in procession across town to Waikiki Beach. Reverend Abraham Akaka, the pastor of Kawaiahao Church, performed the service. A group of beach boys sang Hawaiian songs, including "Aloha Oe", and Kahanamoku's ashes were scattered into the ocean. Statues and monuments In 1994 a statue of Kahanamoku by Barry Donohoo was inaugurated in Freshwater, NSW, Australia. It is the showpiece of the Australian Surfers Walk of Fame. On February 28, 2015, a monument featuring a replica of Kahanamoku's surfboard was unveiled at New Brighton beach, Christchurch, New Zealand in honor of the 100th anniversary of Kahanamoku's visit to New Brighton. A statue of Kahanamoku was installed in Huntington Beach, California. A nearby restaurant is named for him and is close to Huntington Beach pier. The City of Huntington Beach identifies with the legacy of surfing, and a museum dedicated to that sport is located here. Additional tributes Hawaii music promoter Kimo Wilder McVay capitalized on Kahanamoku's popularity by naming his Waikiki showroom "Duke Kahanamoku's" at the International Market Place and giving Kahanamoku a financial interest in the showroom in exchange for the use of his name. It was a major Waikiki showroom in the 1960s and is remembered as the home of Don Ho & The Aliis from 1964 through 1969. The showroom continued to be known as Duke Kahanamoku's until Hawaii showman Jack Cione bought it in the mid-1970s and renamed it Le Boom Boom. Kahanamoku's name is also used by Duke's Canoe Club & Barefoot Bar, known as Duke's Waikiki, a beachfront bar and restaurant in the Outrigger Waikiki on the Beach Hotel. There is a chain of restaurants named after him in California, Florida and Hawaii called Duke's. On August 24, 2002, the 112th anniversary of Kahanamoku's birth, the U.S. Postal Service issued a first-class commemorative stamp with Duke's picture on it. The First Day Ceremony was held at the Hilton Hawaiian Village in Waikiki and was attended by thousands. At this ceremony, attendees could attach the Duke stamp to an envelope and get it canceled with a First Day of Issue postmark. These first day covers are very collectible. On August 24, 2015, a Google Doodle honored the 125th anniversary of Duke Kahanamoku's birthday. Filmography See also Google Arts & Culture - "Duke Paoa Kahanamoku" Google Maps - Public Art "Duke Kahanamoku" Duke Paoa Kahanamoku Lagoon List of multiple Olympic gold medalists List of Olympic medalists in swimming (men) World record progression 100 metres freestyle World record progression 4 × 200 metres freestyle relay References Further reading Kahanamoku, Duke. "Do's and Don't's." Photoplay, September 1925. Tie-in to Adventure. Paniccia, Patti. "Who Owns the Duke?: The battle for the trademark to Duke Kahanamoku’s name has been far less dignified than the man himself." Honolulu Magazine. November 1, 2006. http://www.honolulumagazine.com/Honolulu-Magazine/November-2006/Who-Owns-the-Duke/ External links External links Duke Kahanamoku (USA) – Honor Swimmer profile at International Swimming Hall of Fame Surfline bio of Duke Undated photo of Kahanamoku from the Library of Congress collection Image of Duke Kahanamoku surfing in Los Angeles, California, circa 1920. Los Angeles Times Photographic Archive (Collection 1429). UCLA Library Special Collections, Charles E. Young Research Library, University of California, Los Angeles. 1890 births 1968 deaths Male actors from Hawaii American male freestyle swimmers American surfers American male water polo players Burials at sea World record setters in swimming Hawaiian nobility Kamehameha Schools alumni Medalists at the 1912 Summer Olympics Medalists at the 1920 Summer Olympics Medalists at the 1924 Summer Olympics Native Hawaiian sportspeople Olympic gold medalists for the United States in swimming Olympic silver medalists for the United States in swimming Olympic water polo players of the United States Sportspeople from Hawaii Swimmers at the 1912 Summer Olympics Swimmers at the 1920 Summer Olympics Swimmers at the 1924 Summer Olympics Water polo players at the 1920 Summer Olympics Hawaii sheriffs Native Hawaiian surfers Swimmers from Hawaii
9121
https://en.wikipedia.org/wiki/Dacoity
Dacoity
Dacoity is a term used for "banditry" in the Indian subcontinent. The spelling is the anglicised version of the Hindi word daaku; "dacoit" is a colloquial Indian English word with this meaning and it appears in the Glossary of Colloquial Anglo-Indian Words and Phrases (1903). Banditry is criminal activity involving robbery by groups of armed bandits. The East India Company established the Thuggee and Dacoity Department in 1830, and the Thuggee and Dacoity Suppression Acts, 1836–1848 were enacted in British India under East India Company rule. Areas with ravines or forests, such as Chambal and Chilapata Forests, were once known for dacoits. Etymology The word "dacoity", the anglicized version of the Hindi word ḍakaitī (historically spelled dakaitee). Hindi डकैती comes from ḍākū (historically spelled dakoo, Hindi: डाकू, meaning "armed robber"). The term dacoit (Hindi: डकैत ḍakait) means "a bandit" according to the OED ("A member of a class of robbers in India and Burma, who plunder in armed bands"). History Bandits of Bhind-Morena and Chambal The dacoity have had a large impact in the Bhind Morena of Chambal regions in Madhya Pradesh, Rajasthan, Haryana and Uttar Pradesh in north-central India. The exact reasons for the emergence of dacoity in the Chambal valley has been disputed. Most explanations have simply suggested feudal exploitation as the cause that provoked many people of this region to take to arms. The area was also underdeveloped and poor, so that banditry posed great economic incentives. However, the fact that many gangs operating in this valley were composed of higher castes and wealthy people appears to suggest that feudalism may only be a partial explanation of dacoity in Chambal valley (Bhaduri, 1972; Khan, 1981; Jatar, 1980; Katare, 1972). Furthermore, traditional honor codes and blood feuds would drive some into criminality. In Chambal, India, organized crime controlled much of the countryside from the time of the British Raj up to the early 2000s, with the police offering high rewards for the most notorious bandit chiefs. The criminals regularly targeted local businesses, though they preferred to kidnap wealthy people, and demand ransom from their relatives - cutting off fingers, noses, and ears to pressure them into paying high sums. Many dacoity also posed as social bandits toward the local poor, paying medical bills and funding weddings. One ex-dacoit described his own criminal past by claiming that "I was a rebel. I fought injustice." Following intense anti-banditry campaigns by the Indian Police, highway robbery was almost completely eradicated in the early 2000s. Nevertheless, Chambal is still popularly believed to be unsafe and bandit-infested by many Indians. One police officer noted that the fading of the dacoity was also due to social changes, as few young people were any longer willing to endure the harsh life as highway robber in the countryside. Instead, they prefer to join crime groups in the city, where life is easier. Other dacoity The term is also applied, according to the OED, to "pirates who formerly infested the Ganges between Calcutta and Burhampore". Dacoits existed in Burma as well – Rudyard Kipling's fictional Private Mulvaney hunted Burmese dacoits in "The Taking of Lungtungpen". Sax Rohmer's criminal mastermind Dr. Fu Manchu also employed Burmese dacoits as his henchmen. Indian police forces use "Known Dacoit" (K.D.) as a label to classify criminals. Notable dacoits Notable dacoits include: Gabbar Singh Gadaria - inspired the* famous 1975 film Sholay, based on his life Paan Singh Tomar - soldier, athlete, who resorted to becoming a Baaghi due to the injustice he faced. Also inspired the famous film of Irrfan Khan. Daku Man Singh Dadua Patel Veerappan Jagga Jatt Phoolan Devi Rambabu Gadariya - the last dacoit of Chambal Chavviram Singh Yadav Nizam Lohar Malangi Mohar Singh Protection measures In Madhya Pradesh, women belonging to a village defence group have been issued firearm permits to fend off dacoity. The Chief minister of the state, Shivraj Singh Chouhan, recognised the role the women had played in defending their villages without guns. He stated that he wanted to enable these women to better defend both themselves and their villages, and issued the gun permits to advance this goal. In popular culture Dacoit films As the dacoits flourished through the 1940s–1970s, they were the subject of various Hindi films made during this era, leading to the emergence of the dacoit film genre in Hindi Film Industry. The genre began with Mehboob Khan's Aurat (1940), which he remade as Mother India (1957). Mother India received an Academy Award nomination, and defined the dacoit film genre, along with Dilip Kumar's Gunga Jumna (1961). Other popular films in this genre included Raj Kapoor’s Jis Desh Mein Ganga Behti Hai (1961) and Moni Bhattacharjee's Mujhe Jeene Do (1963). Pakistani actor Akmal Khan had two dacoit films, Malangi (1965) and Imam Din Gohavia (1967). Other films in this genre included Khote Sikkay (1973), Mera Gaon Mera Desh (1971), and Kuchhe Dhaage (1973) both by Raj Khosla. The most famous dacoit film is Sholay (1975), written by Salim–Javed, and starring Dharmendra, Amitabh Bachchan, and Amjad Khan as the dacoit character Gabbar Singh. It was a masala film that combined the dacoit film conventions of Mother India and Gunga Jumna with that of Spaghetti Westerns, spawning the "Dacoit Western" genre, also known as the "Curry Western" genre. The film also borrowed elements from Akira Kurosawa's Seven Samurai. Sholay became a classic in the genre, and its success led to a surge of films in this genre, including Ganga Ki Saugandh (1978), once again starring Amitabh Bachchan and Amjad Khan. An internationally acclaimed example of the genre is Bandit Queen (1994). The Tamil movie starring Karthi, Theeran Adhigaaram Ondru (2017) deals elaborately with bandits. The film reveals the real dacoity incidents which held in Tamil Nadu between 1995 and 2005. Director Vinoth did a two-year research about bandits to develop the script. A related genre of crime films are Mumbai underworld films. Other media Bengali novel Devi Chowdhurani by author Bankim Chandra Chatterjee in 1867. A Hindi novel named Painstth Lakh ki Dacoity (1977) was written by Surender Mohan Pathak; it was translated as The 65 Lakh Heist. Dacoits armed with pistols and swords appear in Age of Empires III: Asian Dynasties. They frequently appeared in the French language Bob Morane series of novels by Henri Vernes, principally as the main thugs or assassins of the hero's recurring villain, Mr. Ming. See also Meenas Organised crime in India Criminal Tribes Act References Further reading Phoolan Devi, with Marie-Therese Cuny, and Paul Rambali, The Bandit Queen of India: An Indian Woman's Amazing Journey from Peasant to International Legend Guilford, CT: The Lyons Press, 2006 Mala Sen, India's Bandit Queen: The true Story of Phoolan Devi, HarperCollins Publishers (September 1991) . G. K. Betham, The Story of a Dacoity, and the Lolapaur Week: An Up-Country Sketch. BiblioBazaar, 2008. . Shyam Sunder Katare, Patterns of dacoity in India: a case study of Madhya Pradesh. S. Chand, 1972. Mohammad Zahir Khan, Dacoity in Chambal Valley. National, 1981. External links Dacoity - Indian Penal Code, Chapter XVII (Mobile Friendly) As modern world closes in, India's fabled bandits are disappearing - International Herald Tribune British India Robbery Outlaws Illegal occupations Organised crime in Pakistan Indian robbers Gangs in India Indian slang Pakistani slang Bengali words and phrases Urdu-language words and phrases Organised crime in India Secret societies in India Secret societies related to organized crime hi:डकैती
9141
https://en.wikipedia.org/wiki/Davy%20Jones%20%28musician%29
Davy Jones (musician)
David Thomas Jones (30 December 1945 – 29 February 2012) was an English singer, actor and businessman. Jones is best known as a member of the band the Monkees and a co-star of the TV series The Monkees (1966–1968). He was considered a teen idol. Aside from his work on The Monkees TV show, Jones' acting credits include a Tony-nominated performance as the Artful Dodger in the original London and Broadway productions of Oliver! and a guest-starring role in a hallmark episode of The Brady Bunch television show and a later reprised parody film. Early life David Thomas Jones was born in Manchester, England on 30 December 1945 to Harry and Doris Jones. He had three sisters: Hazel, Lynda, and Beryl. Jones' mother died from emphysema when he was 14 years of age. Career as actor and singer Early days (1961–1965) Jones' television acting debut was on the British television soap opera Coronation Street, in which he appeared as Colin Lomax, grandson of the regular character Ena Sharples, for one episode on 6 March 1961. He also appeared in the BBC police series Z-Cars. Following the death of his mother, Jones rejected acting in favour of a career as a jockey, commencing an apprenticeship with Newmarket trainer Basil Foster. He dropped out of secondary school to begin his career in that field. This career was short-lived, however. Even though Foster believed Jones would be successful as a jockey, he encouraged his young protégé to take a role as the Artful Dodger in a production of Oliver! in London's West End. Foster was approached by a friend who worked in a theatre in the West End of London during casting for the musical Oliver! Foster replied, "I've got the kid." Jones' portrayal of the Artful Dodger brought him great acclaim. He played the role in London and then on Broadway and was nominated for a Tony Award. On 9 February 1964, Jones appeared on The Ed Sullivan Show with Georgia Brown, who was playing Nancy in the Broadway production of Oliver!. This was the same episode of the show in which the Beatles made their first appearance on U.S. television. Jones said of that night, "I watched the Beatles from the side of the stage, I saw the girls going crazy, and I said to myself, this is it, I want a piece of that." Following his Ed Sullivan appearance, Jones signed a contract with Ward Sylvester of Screen Gems (then the television division of Columbia Pictures). A pair of U.S. television appearances followed, as Jones received screen time in episodes of Ben Casey and The Farmer's Daughter. Jones debuted on the Billboard Hot 100 in the week of 14 August 1965, with the single "What Are We Going To Do?" The 19-year-old singer was signed to Colpix Records, a label owned by Columbia. His debut album, David Jones, on the same label, followed soon after (CP493). The Monkees (1966–1970) From 1966 to 1970, Jones was a member of The Monkees, a pop-rock band formed expressly for a television show of the same name. With Screen Gems producing the series, Jones was shortlisted for auditions, as he was the only Monkee who was signed to a deal with the studio, but still had to meet producers Bob Rafelson's and Bert Schneider's standards. Jones sang lead vocals on many of the Monkees' recordings, including "I Wanna Be Free" and "Daydream Believer". The DVD release of the first season of the show contained commentary from the various bandmates. In Peter Tork's commentary, he stated that Jones was a good drummer and had the live performance lineups been based solely on playing ability, it should have been Tork on guitar, Mike Nesmith on bass, and Jones on drums, with Micky Dolenz taking the fronting role, rather than as it was done (with Nesmith on guitar, Tork on bass, and Dolenz on drums). Like Peter Tork, Jones, despite playing mostly tambourine or maracas, was a multi-instrumentalist and would fill in for Tork on bass when he played keyboards and vice versa and for Dolenz on drums when the Monkees performed live concerts. The Monkees officially disbanded in 1970. The NBC television series The Monkees was popular and remained in syndication. Post-Monkees career (1970–2012) Bell Records, then having a string of hits with The Partridge Family, signed Jones to a somewhat inflexible solo record contract in 1971. Jones was not allowed to choose his songs or producer, resulting in several lacklustre and aimless records. His second solo album, Davy Jones (1971) was notable for the song "Rainy Jane", which reached No. 52 in the Billboard charts. To promote the album, Jones performed "Girl" on an episode of The Brady Bunch entitled "Getting Davy Jones". Although the single sold poorly, the popularity of Jones' appearance on the show resulted in "Girl" becoming his best-remembered solo hit, even though it was not included in the album. The final single, "I'll Believe In You"/"Road to Love," was poorly received. Dolenz, Jones, Boyce & Hart (1976) Thanks in part to reruns of The Monkees on Saturday mornings and in syndication, The Monkees Greatest Hits charted in 1976. The LP, issued by Arista (a subsidiary of Screen Gems), was actually a repackaging of a 1972 compilation LP called Refocus that had been issued by Arista's previous label imprint, Bell Records, also owned by Screen Gems. Dolenz and Jones took advantage of this, joining ex-Monkees songwriters Tommy Boyce and Bobby Hart to tour the United States. From 1975 to 1977, as the "Golden Hits of The Monkees" show ("The Guys who Wrote 'Em and the Guys who Sang 'Em!"), they successfully performed in smaller venues such as state fairs and amusement parks as well as making stops in Japan, Thailand, and Singapore (although they were forbidden from using the "Monkees" name, as it was owned by Screen Gems at the time). They also released an album of new material appropriately as Dolenz, Jones, Boyce & Hart; a live album entitled Concert in Japan was also recorded in 1976, but was not released until 1996. Further stage and screen appearances (1977–1999) Despite his initial high profile after the Monkees disbanded, Jones struggled to establish himself as a solo music artist. Glenn A. Baker, author of Monkeemania: The True Story of the Monkees, commented in 1986 that "for an artist as versatile and confident as (Davy) Jones, the relative failure of his post-Monkees activities is puzzling. For all his cocky predictions to the press about his future plans, Davy fell into a directionless heap when left to his own devices." Jones returned to theatre several times after the Monkees disbanded. In 1977, he performed with former bandmate Micky Dolenz in a stage production of the Harry Nilsson musical The Point! in London at the Mermaid Theatre, playing and singing the starring role of "Oblio" to Dolenz' roles as the "Count's Kid" and the "Leafman", (according to the CD booklet). An original cast recording was made and released. The comedic chemistry of Jones and Dolenz proved so strong that the show was revived in 1978 with Nilsson inserting additional comedy for the two, plus two more songs, with one of them ("Gotta Get Up") being sung by Jones and Dolenz. The show was considered so good that it was planned to be revived again in 1979 but it proved cost prohibitive (source CD booklet "Harry Nilsson's The Point"). Jones also appeared in several productions of Oliver! as the Artful Dodger, and in 1989 toured the US portraying "Fagin". Jones appeared in two episodes each of Love, American Style and My Two Dads. Jones also appeared in animated form as himself in 1972 in an hour-long episode of The New Scooby-Doo Movies. A Monkees television show marathon ("Pleasant Valley Sunday") broadcast on 23 February 1986 by MTV resulted in a wave of Monkeemania not seen since the band's heyday. Jones reunited with Dolenz and Peter Tork from 1986 to 1989 to celebrate the band's renewed success and promote the 20th anniversary of the band. A new top 20 hit, "That Was Then, This Is Now" was released (though Jones did not perform on the song) as well as an album, Pool It! In 1996, Jones reunited with Dolenz, Tork and Michael Nesmith to celebrate the 30th anniversary of the Monkees. The band released a new album entitled Justus, the first album since 1967's Headquarters that featured the band members performing all instrumental duties. It was the last time all four Monkees performed together. Other television appearances include Sledge Hammer!, Boy Meets World, Hey Arnold!, The Single Guy (where he is mistaken for Dudley Moore) and Sabrina, the Teenage Witch in which he sang "Daydream Believer" to Sabrina (Melissa Joan Hart) as well as (I'll) Love You Forever. In 1995, Jones acted in a notable episode of the sitcom Boy Meets World. The continued popularity of Jones' 1971 Brady Bunch appearance led to his being cast as himself in The Brady Bunch Movie (1995). Jones sang his signature solo hit "Girl", with a grunge band providing backing, this time with middle-aged women swooning over him. Micky Dolenz and Peter Tork also appeared alongside Jones as judges. On 21 June 1997, during a concert at the Los Angeles Coliseum, Jones joined U2's The Edge onstage for a karaoke performance of "Daydream Believer," which had become a fixture of the band's set during that year's PopMart Tour. Later career (2000–2012) In 2001, Jones released Just Me, an album of his own songs, some written for the album and others originally on Monkees releases. In the early 2000s he was performing in the Flower Power Concert Series during Epcot's Flower and Garden Festival, a yearly gig he would continue until his death. In April 2006, Jones recorded the single "Your Personal Penguin", written by children's author Sandra Boynton, as a companion piece to her new board book of the same title. In 2007, Jones performed the theme song for the movie Sexina: Popstar P.I.. On 1 November 2007, the Boynton book and CD titled Blue Moo was released and Jones is featured in both the book and CD, singing "Your Personal Penguin". In 2009, Jones released a collection of classics and standards from the 1940s through the 1970s entitled She. In December 2008, Yahoo! Music named Jones the "Number 1 teen idol of all time". In 2009, Jones was rated second in a list of 10 best teen idols compiled by Fox News. In 2009, Jones made a cameo appearance as himself in the SpongeBob SquarePants episode "SpongeBob SquarePants vs. The Big One" (his appearance was meant as a pun on the phrase "Davy Jones' Locker"). In February 2011, Jones confirmed rumours of another Monkees reunion. "There's even talk of putting the Monkees back together again in the next year or so for a U.S. and UK tour," he told Disney's Backstage Pass newsletter. "You're always hearing all those great songs on the radio, in commercials, movies, almost everywhere." The tour (Jones' last) came to fruition and was entitled An Evening with The Monkees: The 45th Anniversary Tour. Other ventures In 1967, Jones opened his first store, called Zilch, at 217 Thompson Street in the Greenwich Village section of New York City. The store sold "hip" clothing and accessories and also allowed customers to design their own clothes. After the Monkees disbanded in 1970, Jones kept himself busy by establishing a New York City-style street market in Los Angeles, called "The Street", which cost approximately $40,000. He also collaborated with musical director Doug Trevor on a one-hour ABC television special entitled Pop Goes Davy Jones, which featured new artists The Jackson 5 and the Osmonds. Horse racing In addition to his career as an entertainer, Jones' other great love was horses. Training as a jockey in his teens in the UK, he had intended to pursue a career as a professional race jockey. He held an amateur rider's licence and rode in his first race at Newbury in Berkshire for renowned trainer Toby Balding. On 1 February 1996, Jones won his first race, on Digpast, in the one-mile Ontario Amateur Riders Handicap at Lingfield in Surrey. Jones also had horse ownership interests in both the US and the UK, and served as a commercial spokesman for Colonial Downs racetrack in Virginia. Following Jones' death, Lingfield announced that the first two races on the card for 3 March 2012 would be renamed the "Hey Hey We're The Monkees Handicap" and the "In Memory of Davy Jones Selling Stakes", with successful horses in those races accompanied into the winners' enclosure by some of the Monkees' biggest hits. Plans were also announced to erect a plaque to commemorate Jones next to a Monkey Puzzle tree on the course. Personal life Jones was married three times and had four children. In December 1967, he married Dixie Linda Haines, with whom he had been living. Their relationship had been kept out of the public eye until after the birth of their first child in October 1968. It caused a considerable backlash for Jones from his fans when it was finally made public. Jones later stated in Tiger Beat magazine, "I kept my marriage a secret because I believe stars should be allowed a private life." Jones and Haines had two daughters. The marriage ended in 1975. Jones and Linda had 2 daughters Talia Elizabeth Jones (October 2nd, 1968) and Sarah Lee Jones (July 3rd, 1971) Jones married his second wife, Anita Pollinger, on 24 January 1981, and also had two daughters Jessica Lillian Jones (September 4th, 1981) and Annabel Charlotte Jones (June 26th, 1988). The couple divorced in 1996 during the Monkees' 30th-anniversary reunion tour. Jones married Jessica Pacheco in 2009. Jones and his wife appeared on the Dr. Phil show in April 2011. On 28 July 2011, Pacheco filed to divorce Jones in Miami-Dade County, Florida, but dropped the suit in October. They were still married when he died in February 2012. Pacheco was omitted from Jones' will, which he had made before their marriage. His oldest daughter, whom he named his executrix, was granted by the court the unusual request that her father's will be sealed, on the basis that "planning documents and financial affairs as public opinion could have a material effect on his copyrights, royalties and ongoing goodwill." Death On the morning of 29 February 2012, Jones went to tend his 14 horses at a farm in Indiantown, Florida. After riding one of his favourite horses around the track, he complained of chest pains and difficulty breathing and was given antacid pills. He got in his car to go home. Just after 8am a ranch-hand found him unconscious and an ambulance was called but could not revive him. He was taken to Martin Memorial South Hospital in Stuart, Florida, where he was pronounced dead of a heart attack resulting from arteriosclerosis. On 7 March, a private funeral service was held at Holy Cross Catholic parish church in Indiantown. To avoid drawing attention to the grieving family, the three surviving Monkees did not attend. Instead, the bandmates attended memorial services in New York City and organized their own private memorial in Los Angeles along with Jones' family and close friends. A public memorial service was held on 10 March in Beavertown, Pennsylvania, near a church Jones had purchased for future renovation. On 12 March, a private memorial service was held in Jones' home of Openshaw, Manchester, at Lees Street Congregational Church, where Jones performed as a child in church plays. Jones' wife and daughters travelled to England to join his relatives based there for the service, and placed his ashes on his parents' graves for a time. Reaction The news of Jones' death triggered a surge of Internet traffic, causing sales of the Monkees' music to increase dramatically. Guitarist Michael Nesmith stated that Jones' "spirit and soul live well in my heart, among all the lovely people, who remember with me the good times, and the healing times, that were created for so many, including us. I have fond memories. I wish him safe travels." In an 8 March 2012 interview with Rolling Stone magazine, Nesmith commented, "For me, David was the Monkees. They were his band. We were his side men." Bassist Peter Tork said, "Adios to the Manchester Cowboy", and speaking to CNN, drummer/singer Micky Dolenz said, "He was the brother I never had and this leaves a gigantic hole in my heart." Dolenz claimed that he knew that something bad was about to happen and said "Can't believe it.. Still in shock.. had bad dreams all night long." Dolenz was gratified by the public affection expressed for both Jones and the Monkees in the wake of his bandmate's death. "He was a very well-known and well-loved character and person. There are a lot of people who are grieving pretty hard. The Monkees obviously had a following, and so did (Jones) on his own. So I'm not surprised, but I was flattered and honored to be considered one of his friends and a cohort in Monkee business." The Monkees co-creator Bob Rafelson commented that Jones "deserves a lot of credit, let me tell you. He may not have lived as long as we wanted him to, but he survived about seven lifetimes, including being perhaps the biggest rock star of his time." Brady Bunch co-star Maureen McCormick commented that "Davy was a beautiful soul," and that he "spread love and goodness around the world. He filled our lives with happiness, music, and joy. He will live on in our hearts forever. May he rest in peace." Yahoo! Music commented that Jones' death "hit so many people so hard" because "Monkees nostalgia cuts across generations: from the people who discovered the band during their original 1960s run; to the kids who came of age watching 1970s reruns; to the 20- and 30-somethings who discovered the Monkees when MTV (a network that owes much to the Monkees' influence) began airing old episodes in 1986." Time contributor James Poniewozik praised the Monkees' classic sitcom, and Jones in particular, saying, "even if the show never meant to be more than entertainment and a hit-single generator, we shouldn’t sell The Monkees short. It was far better television than it had to be; during an era of formulaic domestic sitcoms and wacky comedies, it was a stylistically ambitious show, with a distinctive visual style, absurdist sense of humor and unusual story structure. Whatever Jones and the Monkees were meant to be, they became creative artists in their own right, and Jones' chipper Brit-pop presence was a big reason they were able to produce work that was commercial, wholesome, and yet impressively weird." Mediaite columnist Paul Levinson noted, "The Monkees were the first example of something created in a medium – in this case, a rock band on television – that jumped off the screen to have big impact in the real world." Filmography Discography Albums Singles Lead vocals with The Monkees Books They Made a Monkee Out of Me, autobiography (print book) by Davy Jones, Dome PR, 1987, . They Made a Monkee Out of Me: Davy Jones Reads His Autobiography, (audiobook), Dove Entertainment Inc (November 1988). Mutant Monkees Meet the Masters of the Multimedia Manipulation Machine! Written with Alan Green, Click! Publishing, First Edition, 1992, (softcover) Daydream Believin, Hercules Promotions, First Edition, (2000) References External links  – Davy Jones Interview with Davy Jones 1945 births 2012 deaths Bell Records artists English expatriates in the United States English jockeys English male child actors English male film actors English male musical theatre actors English male soap opera actors English male voice actors English memoirists English pop singers English male singer-songwriters Maracas players Male actors from Manchester Musicians from Manchester Tambourine players The Monkees members 20th-century English male actors 21st-century English male actors Deaths from arteriosclerosis Deaths from coronary artery disease
9232
https://en.wikipedia.org/wiki/Eiffel%20Tower
Eiffel Tower
The Eiffel Tower ( ; ) is a wrought-iron lattice tower on the Champ de Mars in Paris, France. It is named after the engineer Gustave Eiffel, whose company designed and built the tower. Locally nicknamed "La dame de fer" (French for "Iron Lady"), it was constructed from 1887 to 1889 as the centerpiece of the 1889 World's Fair and was initially criticized by some of France's leading artists and intellectuals for its design, but it has become a global cultural icon of France and one of the most recognizable structures in the world. The Eiffel Tower is the most visited monument with an entrance fee in the world; 6.91 million people ascended it in 2015. The Tower was made a Monument historique in 1964 and named part of UNESCO World Heritage Site ("Paris, Banks of the Seins") in 1991. The tower is tall, about the same height as an 81- building, and the tallest structure in Paris. Its base is square, measuring on each side. During its construction, the Eiffel Tower surpassed the Washington Monument to become the tallest man-made structure in the world, a title it held for 41 years until the Chrysler Building in New York City was finished in 1930. It was the first structure in the world to surpass both the 200-metre and 300-metre mark in height. Due to the addition of a broadcasting aerial at the top of the tower in 1957, it is now taller than the Chrysler Building by . Excluding transmitters, the Eiffel Tower is the second tallest free-standing structure in France after the Millau Viaduct. The tower has three levels for visitors, with restaurants on the first and second levels. The top level's upper platform is above the ground – the highest observation deck accessible to the public in the European Union. Tickets can be purchased to ascend by stairs or lift to the first and second levels. The climb from ground level to the first level is over 300 steps, as is the climb from the first level to the second. Although there is a staircase to the top level, it is usually accessible only by lift. History Origin The design of the Eiffel Tower is attributed to Maurice Koechlin and Émile Nouguier, two senior engineers working for the Compagnie des Établissements Eiffel. It was envisioned after discussion about a suitable centerpiece for the proposed 1889 Exposition Universelle, a world's fair to celebrate the centennial of the French Revolution. Eiffel openly acknowledged that inspiration for a tower came from the Latting Observatory built in New York City in 1853. In May 1884, working at home, Koechlin made a sketch of their idea, described by him as "a great pylon, consisting of four lattice girders standing apart at the base and coming together at the top, joined together by metal trusses at regular intervals". Eiffel initially showed little enthusiasm, but he did approve further study, and the two engineers then asked Stephen Sauvestre, the head of the company's architectural department, to contribute to the design. Sauvestre added decorative arches to the base of the tower, a glass pavilion to the first level, and other embellishments. The new version gained Eiffel's support: he bought the rights to the patent on the design which Koechlin, Nougier, and Sauvestre had taken out, and the design was put on display at the Exhibition of Decorative Arts in the autumn of 1884 under the company name. On 30 March 1885, Eiffel presented his plans to the ; after discussing the technical problems and emphasising the practical uses of the tower, he finished his talk by saying the tower would symbolise Little progress was made until 1886, when Jules Grévy was re-elected as president of France and Édouard Lockroy was appointed as minister for trade. A budget for the exposition was passed and, on 1 May, Lockroy announced an alteration to the terms of the open competition being held for a centrepiece to the exposition, which effectively made the selection of Eiffel's design a foregone conclusion, as entries had to include a study for a four-sided metal tower on the Champ de Mars. (A 300-metre tower was then considered a herculean engineering effort). On 12 May, a commission was set up to examine Eiffel's scheme and its rivals, which, a month later, decided that all the proposals except Eiffel's were either impractical or lacking in details. After some debate about the exact location of the tower, a contract was signed on 8 January 1887. Eiffel signed it acting in his own capacity rather than as the representative of his company, the contract granting him 1.5 million francs toward the construction costs: less than a quarter of the estimated 6.5 million francs. Eiffel was to receive all income from the commercial exploitation of the tower during the exhibition and for the next 20 years. He later established a separate company to manage the tower, putting up half the necessary capital himself. Artists' protest The proposed tower had been a subject of controversy, drawing criticism from those who did not believe it was feasible and those who objected on artistic grounds. Prior to the Eiffel Tower's construction, no structure had ever been constructed to a height of 300 m, or even 200 m for that matter, and many people believed it was impossible. These objections were an expression of a long-standing debate in France about the relationship between architecture and engineering. It came to a head as work began at the Champ de Mars: a "Committee of Three Hundred" (one member for each metre of the tower's height) was formed, led by the prominent architect Charles Garnier and including some of the most important figures of the arts, such as William-Adolphe Bouguereau, Guy de Maupassant, Charles Gounod and Jules Massenet. A petition called "Artists against the Eiffel Tower" was sent to the Minister of Works and Commissioner for the Exposition, Adolphe Alphand, and it was published by Le Temps on 14 February 1887: Gustave Eiffel responded to these criticisms by comparing his tower to the Egyptian pyramids: "My tower will be the tallest edifice ever erected by man. Will it not also be grandiose in its way? And why would something admirable in Egypt become hideous and ridiculous in Paris?" These criticisms were also dealt with by Édouard Lockroy in a letter of support written to Alphand, sardonically saying, "Judging by the stately swell of the rhythms, the beauty of the metaphors, the elegance of its delicate and precise style, one can tell this protest is the result of collaboration of the most famous writers and poets of our time", and he explained that the protest was irrelevant since the project had been decided upon months before, and construction on the tower was already under way. Indeed, Garnier was a member of the Tower Commission that had examined the various proposals, and had raised no objection. Eiffel was similarly unworried, pointing out to a journalist that it was premature to judge the effect of the tower solely on the basis of the drawings, that the Champ de Mars was distant enough from the monuments mentioned in the protest for there to be little risk of the tower overwhelming them, and putting the aesthetic argument for the tower: "Do not the laws of natural forces always conform to the secret laws of harmony?" Some of the protesters changed their minds when the tower was built; others remained unconvinced. Guy de Maupassant supposedly ate lunch in the tower's restaurant every day because it was the one place in Paris where the tower was not visible. By 1918, it had become a symbol of Paris and of France after Guillaume Apollinaire wrote a nationalist poem in the shape of the tower (a calligram) to express his feelings about the war against Germany. Today, it is widely considered to be a remarkable piece of structural art, and is often featured in films and literature. Construction Work on the foundations started on 28 January 1887. Those for the east and south legs were straightforward, with each leg resting on four concrete slabs, one for each of the principal girders of each leg. The west and north legs, being closer to the river Seine, were more complicated: each slab needed two piles installed by using compressed-air caissons long and in diameter driven to a depth of to support the concrete slabs, which were thick. Each of these slabs supported a block of limestone with an inclined top to bear a supporting shoe for the ironwork. Each shoe was anchored to the stonework by a pair of bolts in diameter and long. The foundations were completed on 30 June, and the erection of the ironwork began. The visible work on-site was complemented by the enormous amount of exacting preparatory work that took place behind the scenes: the drawing office produced 1,700 general drawings and 3,629 detailed drawings of the 18,038 different parts needed. The task of drawing the components was complicated by the complex angles involved in the design and the degree of precision required: the position of rivet holes was specified to within and angles worked out to one second of arc. The finished components, some already riveted together into sub-assemblies, arrived on horse-drawn carts from a factory in the nearby Parisian suburb of Levallois-Perret and were first bolted together, with the bolts being replaced with rivets as construction progressed. No drilling or shaping was done on site: if any part did not fit, it was sent back to the factory for alteration. In all, 18,038 pieces were joined together using 2.5 million rivets. At first, the legs were constructed as cantilevers, but about halfway to the first level construction was paused to create a substantial timber scaffold. This renewed concerns about the structural integrity of the tower, and sensational headlines such as "Eiffel Suicide!" and "Gustave Eiffel Has Gone Mad: He Has Been Confined in an Asylum" appeared in the tabloid press. At this stage, a small "creeper" crane designed to move up the tower was installed in each leg. They made use of the guides for the lifts which were to be fitted in the four legs. The critical stage of joining the legs at the first level was completed by the end of March 1888. Although the metalwork had been prepared with the utmost attention to detail, provision had been made to carry out small adjustments to precisely align the legs; hydraulic jacks were fitted to the shoes at the base of each leg, capable of exerting a force of 800 tonnes, and the legs were intentionally constructed at a slightly steeper angle than necessary, being supported by sandboxes on the scaffold. Although construction involved 300 on-site employees, due to Eiffel's safety precautions and the use of movable gangways, guardrails and screens, only one person died. Lifts Equipping the tower with adequate and safe passenger lifts was a major concern of the government commission overseeing the Exposition. Although some visitors could be expected to climb to the first level, or even the second, lifts clearly had to be the main means of ascent. Constructing lifts to reach the first level was relatively straightforward: the legs were wide enough at the bottom and so nearly straight that they could contain a straight track, and a contract was given to the French company Roux, Combaluzier & Lepape for two lifts to be fitted in the east and west legs. Roux, Combaluzier & Lepape used a pair of endless chains with rigid, articulated links to which the car was attached. Lead weights on some links of the upper or return sections of the chains counterbalanced most of the car's weight. The car was pushed up from below, not pulled up from above: to prevent the chain buckling, it was enclosed in a conduit. At the bottom of the run, the chains passed around diameter sprockets. Smaller sprockets at the top guided the chains. Installing lifts to the second level was more of a challenge because a straight track was impossible. No French company wanted to undertake the work. The European branch of Otis Brothers & Company submitted a proposal but this was rejected: the fair's charter ruled out the use of any foreign material in the construction of the tower. The deadline for bids was extended but still no French companies put themselves forward, and eventually the contract was given to Otis in July 1887. Otis were confident they would eventually be given the contract and had already started creating designs. The car was divided into two superimposed compartments, each holding 25 passengers, with the lift operator occupying an exterior platform on the first level. Motive power was provided by an inclined hydraulic ram long and in diameter in the tower leg with a stroke of : this moved a carriage carrying six sheaves. Five fixed sheaves were mounted higher up the leg, producing an arrangement similar to a block and tackle but acting in reverse, multiplying the stroke of the piston rather than the force generated. The hydraulic pressure in the driving cylinder was produced by a large open reservoir on the second level. After being exhausted from the cylinder, the water was pumped back up to the reservoir by two pumps in the machinery room at the base of the south leg. This reservoir also provided power to the lifts to the first level. The original lifts for the journey between the second and third levels were supplied by Léon Edoux. A pair of hydraulic rams were mounted on the second level, reaching nearly halfway up to the third level. One lift car was mounted on top of these rams: cables ran from the top of this car up to sheaves on the third level and back down to a second car. Each car travelled only half the distance between the second and third levels and passengers were required to change lifts halfway by means of a short gangway. The 10-ton cars each held 65 passengers. Inauguration and the 1889 exposition The main structural work was completed at the end of March 1889 and, on 31 March, Eiffel celebrated by leading a group of government officials, accompanied by representatives of the press, to the top of the tower. Because the lifts were not yet in operation, the ascent was made by foot, and took over an hour, with Eiffel stopping frequently to explain various features. Most of the party chose to stop at the lower levels, but a few, including the structural engineer, Émile Nouguier, the head of construction, Jean Compagnon, the President of the City Council, and reporters from Le Figaro and Le Monde Illustré, completed the ascent. At 2:35 pm, Eiffel hoisted a large Tricolour to the accompaniment of a 25-gun salute fired at the first level. There was still work to be done, particularly on the lifts and facilities, and the tower was not opened to the public until nine days after the opening of the exposition on 6 May; even then, the lifts had not been completed. The tower was an instant success with the public, and nearly 30,000 visitors made the 1,710-step climb to the top before the lifts entered service on 26 May. Tickets cost 2 francs for the first level, 3 for the second, and 5 for the top, with half-price admission on Sundays, and by the end of the exhibition there had been 1,896,987 visitors. After dark, the tower was lit by hundreds of gas lamps, and a beacon sent out three beams of red, white and blue light. Two searchlights mounted on a circular rail were used to illuminate various buildings of the exposition. The daily opening and closing of the exposition were announced by a cannon at the top. On the second level, the French newspaper Le Figaro had an office and a printing press, where a special souvenir edition, Le Figaro de la Tour, was made. There was also a pâtisserie. At the top, there was a post office where visitors could send letters and postcards as a memento of their visit. Graffitists were also catered for: sheets of paper were mounted on the walls each day for visitors to record their impressions of the tower. Gustave Eiffel described some of the responses as vraiment curieuse ("truly curious"). Famous visitors to the tower included the Prince of Wales, Sarah Bernhardt, "Buffalo Bill" Cody (his Wild West show was an attraction at the exposition) and Thomas Edison. Eiffel invited Edison to his private apartment at the top of the tower, where Edison presented him with one of his phonographs, a new invention and one of the many highlights of the exposition. Edison signed the guestbook with this message: Eiffel had a permit for the tower to stand for 20 years. It was to be dismantled in 1909, when its ownership would revert to the City of Paris. The City had planned to tear it down (part of the original contest rules for designing a tower was that it should be easy to dismantle) but as the tower proved to be valuable for radio telegraphy, it was allowed to remain after the expiry of the permit, and from 1910 it also became part of the International Time Service. Eiffel made use of his apartment at the top of the tower to carry out meteorological observations, and also used the tower to perform experiments on the action of air resistance on falling bodies. Subsequent events For the 1900 Exposition Universelle, the lifts in the east and west legs were replaced by lifts running as far as the second level constructed by the French firm Fives-Lille. These had a compensating mechanism to keep the floor level as the angle of ascent changed at the first level, and were driven by a similar hydraulic mechanism as the Otis lifts, although this was situated at the base of the tower. Hydraulic pressure was provided by pressurised accumulators located near this mechanism. At the same time the lift in the north pillar was removed and replaced by a staircase to the first level. The layout of both first and second levels was modified, with the space available for visitors on the second level. The original lift in the south pillar was removed 13 years later. On 19 October 1901, Alberto Santos-Dumont, flying his No.6 airship, won a 100,000-franc prize offered by Henri Deutsch de la Meurthe for the first person to make a flight from St. Cloud to the Eiffel Tower and back in less than half an hour. Many innovations took place at the Eiffel Tower in the early 20th century. In 1910, Father Theodor Wulf measured radiant energy at the top and bottom of the tower. He found more at the top than expected, incidentally discovering what are known today as cosmic rays. Two years later, on 4 February 1912, Austrian tailor Franz Reichelt died after jumping from the first level of the tower (a height of 57 m) to demonstrate his parachute design. In 1914, at the outbreak of World War I, a radio transmitter located in the tower jammed German radio communications, seriously hindering their advance on Paris and contributing to the Allied victory at the First Battle of the Marne. From 1925 to 1934, illuminated signs for Citroën adorned three of the tower's sides, making it the tallest advertising space in the world at the time. In April 1935, the tower was used to make experimental low-resolution television transmissions, using a shortwave transmitter of 200 watts power. On 17 November, an improved 180-line transmitter was installed. On two separate but related occasions in 1925, the con artist Victor Lustig "sold" the tower for scrap metal. A year later, in February 1926, pilot Leon Collet was killed trying to fly under the tower. His aircraft became entangled in an aerial belonging to a wireless station. A bust of Gustave Eiffel by Antoine Bourdelle was unveiled at the base of the north leg on 2 May 1929. In 1930, the tower lost the title of the world's tallest structure when the Chrysler Building in New York City was completed. In 1938, the decorative arcade around the first level was removed. Upon the German occupation of Paris in 1940, the lift cables were cut by the French. The tower was closed to the public during the occupation and the lifts were not repaired until 1946. In 1940, German soldiers had to climb the tower to hoist a swastika-centered Reichskriegsflagge, but the flag was so large it blew away just a few hours later, and was replaced by a smaller one. When visiting Paris, Hitler chose to stay on the ground. When the Allies were nearing Paris in August 1944, Hitler ordered General Dietrich von Choltitz, the military governor of Paris, to demolish the tower along with the rest of the city. Von Choltitz disobeyed the order. On 25 June, before the Germans had been driven out of Paris, the German flag was replaced with a Tricolour by two men from the French Naval Museum, who narrowly beat three men led by Lucien Sarniguet, who had lowered the Tricolour on 13 June 1940 when Paris fell to the Germans. A fire started in the television transmitter on 3 January 1956, damaging the top of the tower. Repairs took a year, and in 1957, the present radio aerial was added to the top. In 1964, the Eiffel Tower was officially declared to be a historical monument by the Minister of Cultural Affairs, André Malraux. A year later, an additional lift system was installed in the north pillar. According to interviews, in 1967, Montreal Mayor Jean Drapeau negotiated a secret agreement with Charles de Gaulle for the tower to be dismantled and temporarily relocated to Montreal to serve as a landmark and tourist attraction during Expo 67. The plan was allegedly vetoed by the company operating the tower out of fear that the French government could refuse permission for the tower to be restored in its original location. In 1982, the original lifts between the second and third levels were replaced after 97 years in service. These had been closed to the public between November and March because the water in the hydraulic drive tended to freeze. The new cars operate in pairs, with one counterbalancing the other, and perform the journey in one stage, reducing the journey time from eight minutes to less than two minutes. At the same time, two new emergency staircases were installed, replacing the original spiral staircases. In 1983, the south pillar was fitted with an electrically driven Otis lift to serve the Jules Verne restaurant. The Fives-Lille lifts in the east and west legs, fitted in 1899, were extensively refurbished in 1986. The cars were replaced, and a computer system was installed to completely automate the lifts. The motive power was moved from the water hydraulic system to a new electrically driven oil-filled hydraulic system, and the original water hydraulics were retained solely as a counterbalance system. A service lift was added to the south pillar for moving small loads and maintenance personnel three years later. Robert Moriarty flew a Beechcraft Bonanza under the tower on 31 March 1984. In 1987, A.J. Hackett made one of his first bungee jumps from the top of the Eiffel Tower, using a special cord he had helped develop. Hackett was arrested by the police. On 27 October 1991, Thierry Devaux, along with mountain guide Hervé Calvayrac, performed a series of acrobatic figures while bungee jumping from the second floor of the tower. Facing the Champ de Mars, Devaux used an electric winch between figures to go back up to the second floor. When firemen arrived, he stopped after the sixth jump. For its "Countdown to the Year 2000" celebration on 31 December 1999, flashing lights and high-powered searchlights were installed on the tower. During the last three minutes of the year, the lights were turned on starting from the base of the tower and continuing to the top to welcome 2000 with a huge fireworks show. An exhibition above a cafeteria on the first floor commemorates this event. The searchlights on top of the tower made it a beacon in Paris's night sky, and 20,000 flashing bulbs gave the tower a sparkly appearance for five minutes every hour on the hour. The lights sparkled blue for several nights to herald the new millennium on 31 December 2000. The sparkly lighting continued for 18 months until July 2001. The sparkling lights were turned on again on 21 June 2003, and the display was planned to last for 10 years before they needed replacing. The tower received its th guest on 28 November 2002. The tower has operated at its maximum capacity of about 7 million visitors per year since 2003. In 2004, the Eiffel Tower began hosting a seasonal ice rink on the first level. A glass floor was installed on the first level during the 2014 refurbishment. In 2016, during Valentine's Day, the performance UN BATTEMENT by French artist Milène Guermont unfolds among the Eiffel Tower, the Montparnasse Tower and the contemporary artwork PHARES installed on the Place de la Concorde. This interactive pyramid-shaped sculpture allows the public to transmit the beating of their hearts thanks to a cardiac sensor. The Eiffel Tower and the Montparnasse Tower also light up to the rhythm of PHARES. This is the first time that the Eiffel Tower has interacted with a work of art. Design Material The puddle iron (wrought iron) of the Eiffel Tower weighs 7,300 tonnes, and the addition of lifts, shops and antennae have brought the total weight to approximately 10,100 tonnes. As a demonstration of the economy of design, if the 7,300 tonnes of metal in the structure were melted down, it would fill the square base, on each side, to a depth of only assuming the density of the metal to be 7.8 tonnes per cubic metre. Additionally, a cubic box surrounding the tower (324 m × 125 m × 125 m) would contain  tonnes of air, weighing almost as much as the iron itself. Depending on the ambient temperature, the top of the tower may shift away from the sun by up to due to thermal expansion of the metal on the side facing the sun. Wind considerations When it was built, many were shocked by the tower's daring form. Eiffel was accused of trying to create something artistic with no regard to the principles of engineering. However, Eiffel and his team – experienced bridge builders – understood the importance of wind forces, and knew that if they were going to build the tallest structure in the world, they had to be sure it could withstand them. In an interview with the newspaper Le Temps published on 14 February 1887, Eiffel said: He used graphical methods to determine the strength of the tower and empirical evidence to account for the effects of wind, rather than a mathematical formula. Close examination of the tower reveals a basically exponential shape. All parts of the tower were overdesigned to ensure maximum resistance to wind forces. The top half was even assumed to have no gaps in the latticework. In the years since it was completed, engineers have put forward various mathematical hypotheses in an attempt to explain the success of the design. The most recent, devised in 2004 after letters sent by Eiffel to the French Society of Civil Engineers in 1885 were translated into English, is described as a non-linear integral equation based on counteracting the wind pressure on any point of the tower with the tension between the construction elements at that point. The Eiffel Tower sways by up to 9 cm (3.5 in) in the wind. Accommodation When originally built, the first level contained three restaurants – one French, one Russian and one Flemish — and an "Anglo-American Bar". After the exposition closed, the Flemish restaurant was converted to a 250-seat theatre. A promenade wide ran around the outside of the first level. At the top, there were laboratories for various experiments, and a small apartment reserved for Gustave Eiffel to entertain guests, which is now open to the public, complete with period decorations and lifelike mannequins of Eiffel and some of his notable guests. In May 2016, an apartment was created on the first level to accommodate four competition winners during the UEFA Euro 2016 football tournament in Paris in June. The apartment has a kitchen, two bedrooms, a lounge, and views of Paris landmarks including the Seine, Sacré-Cœur, and the Arc de Triomphe. Passenger lifts The arrangement of the lifts has been changed several times during the tower's history. Given the elasticity of the cables and the time taken to align the cars with the landings, each lift, in normal service, takes an average of 8 minutes and 50 seconds to do the round trip, spending an average of 1 minute and 15 seconds at each level. The average journey time between levels is 1 minute. The original hydraulic mechanism is on public display in a small museum at the base of the east and west legs. Because the mechanism requires frequent lubrication and maintenance, public access is often restricted. The rope mechanism of the north tower can be seen as visitors exit the lift. Engraved names Gustave Eiffel engraved on the tower the names of 72 French scientists, engineers and mathematicians in recognition of their contributions to the building of the tower. Eiffel chose this "invocation of science" because of his concern over the artists' protest. At the beginning of the 20th century, the engravings were painted over, but they were restored in 1986–87 by the , a company operating the tower. Aesthetics The tower is painted in three shades: lighter at the top, getting progressively darker towards the bottom to complement the Parisian sky. It was originally reddish brown; this changed in 1968 to a bronze colour known as "Eiffel Tower Brown". The only non-structural elements are the four decorative grill-work arches, added in Sauvestre's sketches, which served to make the tower look more substantial and to make a more impressive entrance to the exposition. A pop-culture movie cliché is that the view from a Parisian window always includes the tower. In reality, since zoning restrictions limit the height of most buildings in Paris to seven storeys, only a small number of tall buildings have a clear view of the tower. Maintenance Maintenance of the tower includes applying 60 tons of paint every seven years to prevent it from rusting. The tower has been completely repainted at least 19 times since it was built. Lead paint was still being used as recently as 2001 when the practice was stopped out of concern for the environment. Tourism Transport The nearest Paris Métro station is Bir-Hakeim and the nearest RER station is Champ de Mars-Tour Eiffel. The tower itself is located at the intersection of the quai Branly and the Pont d'Iéna. Popularity More than 250 million people have visited the tower since it was completed in 1889. In 2015, there were 6.91 million visitors. The tower is the most-visited paid monument in the world. An average of 25,000 people ascend the tower every day which can result in long queues. Restaurants The tower has two restaurants: on the first level, and , a gourmet restaurant with its own lift on the second level. This restaurant has one star in the Michelin Red Guide. It was run by the multi-Michelin star chef Alain Ducasse from 2007 to 2017. Starting May 2019, it will be managed by three-star chef Frédéric Anton. It owes its name to the famous science-fiction writer Jules Verne. Additionally, there is a champagne bar at the top of the Eiffel Tower. From 1937 until 1981, there was a restaurant near the top of the tower. It was removed due to structural considerations; engineers had determined it was too heavy and was causing the tower to sag. This restaurant was sold to an American restaurateur and transported to New York and then New Orleans. It was rebuilt on the edge of New Orleans' Garden District as a restaurant and later event hall. Replicas As one of the most iconic landmarks in the world, the Eiffel Tower has been the inspiration for the creation of many replicas and similar towers. An early example is Blackpool Tower in England. The mayor of Blackpool, Sir John Bickerstaffe, was so impressed on seeing the Eiffel Tower at the 1889 exposition that he commissioned a similar tower to be built in his town. It opened in 1894 and is 158.1 m (518 ft) tall. Tokyo Tower in Japan, built as a communications tower in 1958, was also inspired by the Eiffel Tower. There are various scale models of the tower in the United States, including a half-scale version at the Paris Las Vegas, Nevada, one in Paris, Texas built in 1993, and two 1:3 scale models at Kings Island, located in Mason, Ohio, and Kings Dominion, Virginia, amusement parks opened in 1972 and 1975 respectively. Two 1:3 scale models can be found in China, one in Durango, Mexico that was donated by the local French community, and several across Europe. In 2011, the TV show Pricing the Priceless on the National Geographic Channel speculated that a full-size replica of the tower would cost approximately US$480 million to build. This would be more than ten times the cost of the original (nearly 8 million in 1890 Francs; ~US$40 million in 2018 dollars). Communications The tower has been used for making radio transmissions since the beginning of the 20th century. Until the 1950s, sets of aerial wires ran from the cupola to anchors on the Avenue de Suffren and Champ de Mars. These were connected to longwave transmitters in small bunkers. In 1909, a permanent underground radio centre was built near the south pillar, which still exists today. On 20 November 1913, the Paris Observatory, using the Eiffel Tower as an aerial, exchanged wireless signals with the United States Naval Observatory, which used an aerial in Arlington, Virginia. The object of the transmissions was to measure the difference in longitude between Paris and Washington, D.C. Today, radio and digital television signals are transmitted from the Eiffel Tower. FM radio Digital television A television antenna was first installed on the tower in 1957, increasing its height by 18.7 m (61.4 ft). Work carried out in 2000 added a further 5.3 m (17.4 ft), giving the current height of 324 m (1,063 ft). Analogue television signals from the Eiffel Tower ceased on 8 March 2011. Illumination copyright The tower and its image have been in the public domain since 1993, 70 years after Eiffel's death. In June 1990 a French court ruled that a special lighting display on the tower in 1989 to mark the tower's 100th anniversary was an "original visual creation" protected by copyright. The Court of Cassation, France's judicial court of last resort, upheld the ruling in March 1992. The (SETE) now considers any illumination of the tower to be a separate work of art that falls under copyright. As a result, the SNTE alleges that it is illegal to publish contemporary photographs of the lit tower at night without permission in France and some other countries for commercial use. For this reason, it is often rare to find images or videos of the lit tower at night on stock image sites, and media outlets rarely broadcast images or videos of it. The imposition of copyright has been controversial. The Director of Documentation for what was then called the (SNTE), Stéphane Dieu, commented in 2005: "It is really just a way to manage commercial use of the image, so that it isn't used in ways [of which] we don't approve". SNTE made over €1 million from copyright fees in 2002. However, it could also be used to restrict the publication of tourist photographs of the tower at night, as well as hindering non-profit and semi-commercial publication of images of the illuminated tower. The copyright claim itself has never been tested in courts to date, according to a 2014 article in the Art Law Journal, and there has never been an attempt to track down millions of netizens who have posted and shared their images of the illuminated tower on the Internet worldwide. It added, however, that permissive situation may arise on commercial use of such images, like in a magazine, on a film poster, or on product packaging. French doctrine and jurisprudence allows pictures incorporating a copyrighted work as long as their presence is incidental or accessory to the subject being represented, a reasoning akin to the de minimis rule. Therefore, SETE may be unable to claim copyright on photographs of Paris which happen to include the lit tower. Height changes The pinnacle height of the Eiffel Tower has changed multiple times over the years as described in the chart below. Taller structures The Eiffel Tower was the world's tallest structure when completed in 1889, a distinction it retained until 1929 when the Chrysler Building in New York City was topped out. The tower also lost its standing as the world's tallest tower to the Tokyo Tower in 1958 but retains its status as the tallest freestanding (non-guyed) structure in France. Lattice towers taller than the Eiffel Tower Structures in France taller than the Eiffel Tower See also Eiffel Tower in popular culture List of tallest buildings and structures in the Paris region List of tallest buildings and structures in the world List of tallest towers in the world List of tallest freestanding structures in the world List of tallest freestanding steel structures List of transmission sites Lattice tower Eiffel Tower, 1909–1928 painting series by Robert Delaunay References Notes Bibliography External links Articles containing video clips Buildings and structures in the 7th arrondissement of Paris Former world's tallest buildings Historic Civil Engineering Landmarks Landmarks in France Michelin Guide starred restaurants in France Observation towers in France Restaurant towers Skyscrapers in Paris Tourist attractions in Paris Towers completed in 1889 Venues of the 2024 Summer Olympics Lattice towers Architectural controversies 1889 establishments in France
9252
https://en.wikipedia.org/wiki/Education
Education
Education is the process of facilitating learning, or the acquisition of knowledge, skills, values, morals, beliefs, habits, and personal development. Education originated as transmission of cultural heritage from one generation to the next. Today, educational goals increasingly encompass new ideas such as liberation of learners, critical thinking about presented information, skills needed for the modern society, empathy and complex vocational skills. UNESCO defines three main learning settings. Formal education takes place in education and training institutions, is usually structured by curricular aims and objectives, and learning is typically guided by a teacher. In most regions, formal education is compulsory up to a certain age and commonly divided into educational stages such as kindergarten, primary school and secondary school. Nonformal learning occurs as addition or alternative to formal education. It may be structured according to educational arrangements, but in a more flexible manner, and usually takes place in community-based, workplace-based or civil society-based settings. Lastly, informal settings occurs in daily life, in the family, any experience that has a formative effect on the way one thinks, feels, or acts may be considered educational, whether unintentional or intentional. In practice there is a continuum from the highly formalized to the highly informalized, and informal learning can occur in all three settings. For instance, homeschooling can be classified as nonformal or informal, depending upon the structure. Regardless of setting, educational methods include teaching, training, storytelling, discussion, and directed research. The methodology of teaching is called pedagogy. Education is supported by a variety of different philosophies, theories and empirical research agendas. There are movements for education reforms, such as for improving quality and efficiency of education towards relevance in students' lives and efficient problem solving in modern or future society at large, or for evidence-based education methodologies. A right to education has been recognized by some governments and the United Nations. Global initiatives aim at achieving the Sustainable Development Goal 4, which promotes quality education for all. Etymology Etymologically, the word "education" is derived from the Latin word ēducātiō ("A breeding, a bringing up, a rearing") from ēducō ("I educate, I train") which is related to the homonym ēdūcō ("I lead forth, I take out; I raise up, I erect") from ē- ("from, out of") and dūcō ("I lead, I conduct"). History Education began in prehistory, as adults trained the young in the knowledge and skills deemed necessary in their society. In pre-literate societies, this was achieved orally and through imitation. Story-telling passed knowledge, values, and skills from one generation to the next. As cultures began to extend their knowledge beyond skills that could be readily learned through imitation, formal education developed. Schools existed in Egypt at the time of the Middle Kingdom. Plato founded the Academy in Athens, the first institution of higher learning in Europe. The city of Alexandria in Egypt, established in 330 BCE, became the successor to Athens as the intellectual cradle of Ancient Greece. There, the great Library of Alexandria was built in the 3rd century BCE. European civilizations suffered a collapse of literacy and organization following the fall of Rome in CE 476. In China, Confucius (551–479 BCE), of the State of Lu, was the country's most influential ancient philosopher, whose educational outlook continues to influence the societies of China and neighbours like Korea, Japan, and Vietnam. Confucius gathered disciples and searched in vain for a ruler who would adopt his ideals for good governance, but his Analects were written down by followers and have continued to influence education in East Asia into the modern era. The Aztecs had schools for the noble youths called Calmecac where they would receive rigorous religious and military training. The Aztecs also had a well-developed theory about education, which has an equivalent word in Nahuatl called tlacahuapahualiztli. It means "the art of raising or educating a person", or "the art of strengthening or bringing up men". This was a broad conceptualization of education, which prescribed that it begins at home, supported by formal schooling, and reinforced by community living. Historians cite that formal education was mandatory for everyone regardless of social class and gender. There was also the word neixtlamachiliztli, which is "the act of giving wisdom to the face." These concepts underscore a complex set of educational practices, which was oriented towards communicating to the next generation the experience and intellectual heritage of the past for the purpose of individual development and his integration into the community. After the Fall of Rome, the Catholic Church became the sole preserver of literate scholarship in Western Europe. The church established cathedral schools in the Early Middle Ages as centres of advanced education. Some of these establishments ultimately evolved into medieval universities and forebears of many of Europe's modern universities. During the High Middle Ages, Chartres Cathedral operated the famous and influential Chartres Cathedral School. The medieval universities of Western Christendom were well-integrated across all of Western Europe, encouraged freedom of inquiry, and produced a great variety of fine scholars and natural philosophers, including Thomas Aquinas of the University of Naples, Robert Grosseteste of the University of Oxford, an early expositor of a systematic method of scientific experimentation, and Saint Albert the Great, a pioneer of biological field research. Founded in 1088, the University of Bologne is considered the first, and the oldest continually operating university. Elsewhere during the Middle Ages, Islamic science and mathematics flourished under the Islamic caliphate which was established across the Middle East, extending from the Iberian Peninsula in the west to the Indus in the east and to the Almoravid Dynasty and Mali Empire in the south. The Renaissance in Europe ushered in a new age of scientific and intellectual inquiry and appreciation of ancient Greek and Roman civilizations. Around 1450, Johannes Gutenberg developed a printing press, which allowed works of literature to spread more quickly. The European Age of Empires saw European ideas of education in philosophy, religion, arts and sciences spread out across the globe. Missionaries and scholars also brought back new ideas from other civilizations – as with the Jesuit China missions who played a significant role in the transmission of knowledge, science, and culture between China and Europe, translating works from Europe like Euclid's Elements for Chinese scholars and the thoughts of Confucius for European audiences. The Enlightenment saw the emergence of a more secular educational outlook in Europe. Much of modern traditional Western and Eastern education is based on the Prussian education system. In most countries today, full-time education, whether at school or otherwise, is compulsory for all children up to a certain age. Due to this the proliferation of compulsory education, combined with population growth, UNESCO has calculated that in the next 30 years more people will receive formal education than in all of human history thus far. Formal Formal education occurs in a structured environment whose explicit purpose is teaching students. Usually, formal education takes place in a school environment with classrooms of multiple students learning together with a trained, certified teacher of the subject. Most school systems are designed around a set of values or ideals that govern all educational choices in that system. Such choices include curriculum, organizational models, design of the physical learning spaces (e.g. classrooms), student-teacher interactions, methods of assessment, class size, educational activities, and more. The International Standard Classification of Education (ISCED) was created by UNESCO as a statistical base to compare education systems. In 1997, it defined 7 levels of education and 25 fields, though the fields were later separated out to form a different project. The current version ISCED 2011 has 9 rather than 7 levels, created by dividing the tertiary pre-doctorate level into three levels. It also extended the lowest level (ISCED 0) to cover a new sub-category of early childhood educational development programmes, which target children below the age of 3 years. Early childhood Education designed to support early development in preparation for participation in school and society. The programmes are designed for children below the age of 3. This is ISCED level 01. Preschools provide education from ages approximately three to seven, depending on the country when children enter primary education. The children now readily interact with their peers and the educator. These are also known as nursery schools and as kindergarten, except in the US, where the term kindergarten refers to the earliest levels of primary education. Kindergarten "provides a child-centred, preschool curriculum for three- to seven-year-old children that aim[s] at unfolding the child's physical, intellectual, and moral nature with balanced emphasis on each of them." This is ISCED level 02. Primary This is ISCED level 1. Primary (or elementary) education consists of the first four to seven years of formal, structured education. In general, primary education consists of six to eight years of schooling starting at the age of five to seven, although this varies between, and sometimes within, countries. Globally, in 2008, around 89% of children aged six to twelve were enrolled in primary education, and this proportion was rising. Under the Education For All programs driven by UNESCO, most countries have committed to achieving universal enrollment in primary education by 2015, and in many countries, it is compulsory. The division between primary and secondary education is quite arbitrary, but it generally occurs at about eleven or twelve years of age. Some education systems have separate middle schools, with the transition to the final stage of secondary education taking place at around the age of fifteen. Schools that provide primary education, are mostly referred to as primary schools or elementary schools. Primary schools are often subdivided into infant schools and junior schools. In India, for example, compulsory education spans over twelve years, with eight years of elementary education, five years of primary schooling and three years of upper primary schooling. Various states in the republic of India provide 12 years of compulsory school education based on a national curriculum framework designed by the National Council of Educational Research and Training. Secondary This covers the two ISCED levels, ISCED 2: Lower Secondary Education and ISCED 3: Upper Secondary Education. In most contemporary educational systems of the world, secondary education comprises the formal education that occurs during adolescence. In the United States, Canada, and Australia, primary and secondary education together are sometimes referred to as K-12 education, and in New Zealand Year 1–13 is used. The purpose of secondary education can be to give common knowledge, to ensure literacy, to prepare for higher education, or to train directly in a profession. Secondary education in the United States did not emerge until 1910, with the rise of large corporations and advancing technology in factories, which required skilled workers. In order to meet this new job demand, high schools were created, with a curriculum focused on practical job skills that would better prepare students for white collar or skilled blue collar work. This proved beneficial for both employers and employees, since the improved human capital lowered costs for the employer, while skilled employees received higher wages. Secondary education has a longer history in Europe, where grammar schools or academies date from as early as the 6th century, in the form of public schools, fee-paying schools, or charitable educational foundations, which themselves date even further back. It spans the period between the typically universal compulsory, primary education to the optional, selective tertiary, "postsecondary", or "higher" education of ISCED 5 and 6 (e.g. university), and the ISCED 4 Further education or vocational school. Depending on the system, schools for this period, or a part of it, may be called secondary or high schools, gymnasiums, lyceums, middle schools, colleges, or vocational schools. The exact meaning of any of these terms varies from one system to another. The exact boundary between primary and secondary education also varies from country to country and even within them but is generally around the seventh to the tenth year of schooling. Lower Programs at ISCED level 2, lower secondary education are usually organized around a more subject-oriented curriculum; differing from primary education. Teachers typically have pedagogical training in the specific subjects and, more often than at ISCED level 1, a class of students will have several teachers, each with specialized knowledge of the subjects they teach. Programmes at ISCED level 2, aim to lay the foundation for lifelong learning and human development upon introducing theoretical concepts across a broad range of subjects which can be developed in future stages. Some education systems may offer vocational education programs during ISCED level 2 providing skills relevant to employment. Upper Programs at ISCED level 3, or upper secondary education, are typically designed to complete the secondary education process. They lead to skills relevant to employment and the skill necessary to engage in tertiary courses. They offer students more varied, specialized and in-depth instruction. They are more differentiated, with range of options and learning streams. Community colleges offer another option at this transitional stage of education. They provide nonresidential junior college courses to people living in a particular area. Tertiary Higher education, also called tertiary, third stage, or postsecondary education, is the non-compulsory educational level that follows the completion of a school such as a high school or secondary school. Tertiary education is normally taken to include undergraduate and postgraduate education, as well as vocational education and training. Colleges and universities mainly provide tertiary education. Collectively, these are sometimes known as tertiary institutions. Individuals who complete tertiary education generally receive certificates, diplomas, or academic degrees. The ISCED distinguishes 4 levels of tertiary education. ISCED 6 is equivalent to a first degree, ISCED 7 is equivalent to a masters or an advanced professional qualification and ISCED 8 is an advanced research qualification, usually concluding with the submission and defence of a substantive dissertation of publishable quality based on original research. The category ISCED 5 is reserved for short-cycle courses of requiring degree level study. Higher education typically involves work towards a degree-level or foundation degree qualification. In most developed countries, a high proportion of the population (up to 50%) now enter higher education at some time in their lives. Higher education is therefore very important to national economies, both as a significant industry in its own right and as a source of trained and educated personnel for the rest of the economy. University education includes teaching, research, and social services activities, and it includes both the undergraduate level (sometimes referred to as tertiary education) and the graduate (or postgraduate) level (sometimes referred to as graduate school). Some universities are composed of several colleges. One type of university education is a liberal arts education, which can be defined as a "college or university curriculum aimed at imparting broad general knowledge and developing general intellectual capacities, in contrast to a professional, vocational, or technical curriculum." Although what is known today as liberal arts education began in Europe, the term "liberal arts college" is more commonly associated with institutions in the United States such as Williams College or Barnard College. Vocational Vocational education is a form of education focused on direct and practical training for a specific trade or craft. Vocational education may come in the form of an apprenticeship or internship as well as institutions teaching courses such as carpentry, agriculture, engineering, medicine, architecture and the arts. Post 16 education, adult education and further education involve continued study, but a level no different from that found at upper secondary, and are grouped together as ISCED 4, post-secondary non-tertiary education. Special In the past, those who were disabled were often not eligible for public education. Children with disabilities were repeatedly denied an education by physicians or special tutors. These early physicians (people like Itard, Seguin, Howe, Gallaudet) set the foundation for special education today. They focused on individualized instruction and functional skills. In its early years, special education was only provided to people with severe disabilities, but more recently it has been opened to anyone who has experienced difficulty learning. Unconventional forms Alternative While considered "alternative" today, most alternative systems have existed since ancient times. After the public school system was widely developed beginning in the 19th century, some parents found reasons to be discontented with the new system. Alternative education developed in part as a reaction to perceived limitations and failings of traditional education. A broad range of educational approaches emerged, including alternative schools, self learning, homeschooling, and unschooling. Example alternative schools include Montessori schools, Waldorf schools (or Steiner schools), Friends schools, Sands School, Summerhill School, Walden's Path, The Peepal Grove School, Sudbury Valley School, Krishnamurti schools, and open classroom schools. Charter schools are another example of alternative education, which have in the recent years grown in numbers in the US and gained greater importance in its public education system. In time, some ideas from these experiments and paradigm challenges may be adopted as the norm in education, just as Friedrich Fröbel's approach to early childhood education in 19th-century Germany has been incorporated into contemporary kindergarten classrooms. Other influential writers and thinkers have included the Swiss humanitarian Johann Heinrich Pestalozzi; the American transcendentalists Amos Bronson Alcott, Ralph Waldo Emerson, and Henry David Thoreau; the founders of progressive education, John Dewey and Francis Parker; and educational pioneers such as Maria Montessori and Rudolf Steiner, and more recently John Caldwell Holt, Paul Goodman, Frederick Mayer, George Dennison, and Ivan Illich. Indigenous Indigenous education refers to the inclusion of indigenous knowledge, models, methods, and content within formal and non-formal educational systems. Often in a post-colonial context, the growing recognition and use of indigenous education methods can be a response to the erosion and loss of indigenous knowledge and language through the processes of colonialism. Furthermore, it can enable indigenous communities to "reclaim and revalue their languages and cultures, and in so doing, improve the educational success of indigenous students." Informal learning Informal learning is one of three forms of learning defined by the Organisation for Economic Co-operation and Development (OECD). Informal learning occurs in a variety of places, such as at home, work, and through daily interactions and shared relationships among members of society. For many learners, this includes language acquisition, cultural norms, and manners. In informal learning, there is often a reference person, a peer or expert, to guide the learner. If learners have a personal interest in what they are informally being taught, learners tend to expand their existing knowledge and conceive new ideas about the topic being learned. For example, a museum is traditionally considered an informal learning environment, as there is room for free choice, a diverse and potentially non-standardized range of topics, flexible structures, socially rich interaction, and no externally imposed assessments. While informal learning often takes place outside educational establishments and does not follow a specified curriculum, it can also occur within educational settings and even during formal learning situations. Educators can structure their lessons to directly utilize their students informal learning skills within the education setting. In the late 19th century, education through play began to be recognized as making an important contribution to child development. In the early 20th century, the concept was broadened to include young adults but the emphasis was on physical activities. L.P. Jacks, also an early proponent of lifelong learning, described education through recreation: "A master in the art of living draws no sharp distinction between his work and his play, his labour, and his leisure, his mind and his body, his education and his recreation. He hardly knows which is which. He simply pursues his vision of excellence through whatever he is doing and leaves others to determine whether he is working or playing. To himself, he always seems to be doing both. Enough for him that he does it well." Education through recreation is the opportunity to learn in a seamless fashion through all of life's activities. The concept has been revived by the University of Western Ontario to teach anatomy to medical students. Self-directed learning Autodidacticism (also autodidactism) is self-directed learning. One may become an autodidact at nearly any point in one's life. Notable autodidacts include Abraham Lincoln (U.S. president), Srinivasa Ramanujan (mathematician), Michael Faraday (chemist and physicist), Charles Darwin (naturalist), Thomas Alva Edison (inventor), Tadao Ando (architect), George Bernard Shaw (playwright), Frank Zappa (composer, recording engineer, film director), and Leonardo da Vinci (engineer, scientist, mathematician). Evidence-based Evidence-based education is the use of well designed scientific studies to determine which education methods work best. It consists of evidence-based teaching and evidence-based learning. Evidence-based learning methods such as spaced repetition can increase rate of learning. The evidence-based education movement has its roots in the larger movement towards evidence-based-practices. Open learning and electronic technology Many large university institutions are now starting to offer free or almost free full courses, through open education, such as Harvard, MIT and Berkeley teaming up to form edX. Other universities offering open education are prestigious private universities such as Stanford, Princeton, Duke, Johns Hopkins, the University of Pennsylvania, and Caltech, as well as notable public universities including Tsinghua, Peking, Edinburgh, University of Michigan, and University of Virginia. Open education has been called the biggest change in the way people learn since the printing press. Despite favourable studies on effectiveness, many people may still desire to choose traditional campus education for social and cultural reasons. Many open universities are working to have the ability to offer students standardized testing and traditional degrees and credentials. The conventional merit-system degree is currently not as common in open education as it is in campus universities, although some open universities do already offer conventional degrees such as the Open University in the United Kingdom. Presently, many of the major open education sources offer their own form of certificate. Out of 182 colleges surveyed in 2009 nearly half said tuition for online courses was higher than for campus-based ones. A 2010 meta-analysis found that online and blended educational approaches had better outcomes than methods that used solely face-to-face interaction. Public schooling The education sector or education system is a group of institutions (ministries of education, local educational authorities, teacher training institutions, schools, universities, etc.) whose primary purpose is to provide education to children and young people in educational settings. It involves a wide range of people (curriculum developers, inspectors, school principals, teachers, school nurses, students, etc.). These institutions can vary according to different contexts. Schools deliver education, with support from the rest of the education system through various elements such as education policies and guidelines – to which school policies can refer – curricula and learning materials, as well as pre- and in-service teacher training programmes. The school environment – both physical (infrastructures) and psychological (school climate) – is also guided by school policies that should ensure the well-being of students when they are in school. The Organisation for Economic Co-operation and Development has found that schools tend to perform best when principals have full authority and responsibility for ensuring that students are proficient in core subjects upon graduation. They must also seek feedback from students for quality-assurance and improvement. Governments should limit themselves to monitoring student proficiency. The education sector is fully integrated into society, through interactions with numerous stakeholders and other sectors. These include parents, local communities, religious leaders, NGOs, stakeholders involved in health, child protection, justice and law enforcement (police), media and political leadership. The shape, methodologies, taught material – the curriculum – of formal education is decided by political decision makers along with federal agencies such as the state education agency in the United States. Development goals Joseph Chimombo pointed out education's role as a policy instrument, capable of instilling social change and economic advancement in developing countries by giving communities the opportunity to take control of their destinies. The 2030 Agenda for Sustainable Development, adopted by the United Nations (UN) General Assembly in September 2015, calls for a new vision to address the environmental, social and economic concerns facing the world today. The Agenda includes 17 Sustainable Development Goals (SDGs), including SDG 4 on education. Since 1909, the percentage of children in the developing world attending school has increased. Before then, a small minority of boys attended school. By the start of the twenty-first century, the majority of children in most regions of the world attended some form of school. By 2016, over 91 percent of children are enrolled in formal primary schooling. However, a learning crisis has emerged across the globe, due to the fact that a large proportion of students enrolled in school are not learning. A World Bank study found that "53 percent of children in low- and middle-income countries cannot read and understand a simple story by the end of primary school." While schooling has increased rapidly over the last few decades, learning has not followed suit. Universal Primary Education was one of the eight international Millennium Development Goals, towards which progress has been made in the past decade, though barriers still remain. Securing charitable funding from prospective donors is one particularly persistent problem. Researchers at the Overseas Development Institute have indicated that the main obstacles to funding for education include conflicting donor priorities, an immature aid architecture, and a lack of evidence and advocacy for the issue. Additionally, Transparency International has identified corruption in the education sector as a major stumbling block to achieving Universal Primary Education in Africa. Furthermore, demand in the developing world for improved educational access is not as high as foreigners have expected. Indigenous governments are reluctant to take on the ongoing costs involved. There is also economic pressure from some parents, who prefer their children to earn money in the short term rather than work towards the long-term benefits of education. A study conducted by the UNESCO International Institute for Educational Planning indicates that stronger capacities in educational planning and management may have an important spill-over effect on the system as a whole. Sustainable capacity development requires complex interventions at the institutional, organizational and individual levels that could be based on some foundational principles: national leadership and ownership should be the touchstone of any intervention; strategies must be context relevant and context specific; plans should employ an integrated set of complementary interventions, though implementation may need to proceed in steps; partners should commit to a long-term investment in capacity development while working towards some short-term achievements; outside intervention should be conditional on an impact assessment of national capacities at various levels; a certain percentage of students should be removed for improvisation of academics (usually practiced in schools, after 10th grade). Internationalisation Nearly every country now has universal primary education. Similarities – in systems or even in ideas – that schools share internationally have led to an increase in international student exchanges. The European Socrates-Erasmus Programme facilitates exchanges across European universities. The Soros Foundation provides many opportunities for students from central Asia and eastern Europe. Programs such as the International Baccalaureate have contributed to the internationalization of education. The global campus online, led by American universities, allows free access to class materials and lecture files recorded during the actual classes. The Programme for International Student Assessment and the International Association for the Evaluation of Educational Achievement objectively monitor and compare the proficiency of students from a wide range of different nations. The internationalization of education is sometimes equated by critics with the westernization of education. These critics say that the internationalization of education leads to the erosion of local education systems and indigenous values and norms, which are replaced with Western systems and cultural and ideological values and orientation. Technology in developing countries Technology plays an increasingly significant role in improving access to education for people living in impoverished areas and developing countries. However, lack of technological advancement is still causing barriers with regards to quality and access to education in developing countries. Charities like One Laptop per Child are dedicated to providing infrastructures through which the disadvantaged may access educational materials. The OLPC foundation, a group out of MIT Media Lab and supported by several major corporations, has a stated mission to develop a $100 laptop for delivering educational software. The laptops were widely available as of 2008. They are sold at cost or given away based on donations. In Africa, the New Partnership for Africa's Development (NEPAD) has launched an "e-school program" to provide all 600,000 primary and high schools with computer equipment, learning materials and internet access within 10 years. An International Development Agency project called nabuur.com, started with the support of former American President Bill Clinton, uses the Internet to allow co-operation by individuals on issues of social development. India is developing technologies that will bypass land-based telephone and Internet infrastructure to deliver distance learning directly to its students. In 2004, the Indian Space Research Organisation launched EDUSAT, a communications satellite providing access to educational materials that can reach more of the country's population at a greatly reduced cost. Funding in developing countries A survey of literature of the research into low-cost private schools (LCPS) found that over 5-year period to July 2013, debate around LCPSs to achieving Education for All (EFA) objectives was polarized and finding growing coverage in international policy. The polarization was due to disputes around whether the schools are affordable for the poor, reach disadvantaged groups, provide quality education, support or undermine equality, and are financially sustainable. The report examined the main challenges encountered by development organizations which support LCPSs. Surveys suggest these types of schools are expanding across Africa and Asia. This success is attributed to excess demand. These surveys found concern for: Equity: This concern is widely found in the literature, suggesting the growth in low-cost private schooling may be exacerbating or perpetuating already existing inequalities in developing countries, between urban and rural populations, lower- and higher-income families, and between girls and boys. The report findings suggest that girls may be under represented and that LCPS are reaching low-income families in smaller numbers than higher-income families. Quality and educational outcomes: It is difficult to generalize about the quality of private schools. While most achieve better results than government counterparts, even after their social background is taken into account, some studies find the opposite. Quality in terms of levels of teacher absence, teaching activity, and pupil to teacher ratios in some countries are better in LCPSs than in government schools. Choice and affordability for the poor: Parents can choose private schools because of perceptions of better-quality teaching and facilities, and an English language instruction preference. Nevertheless, the concept of 'choice' does not apply in all contexts, or to all groups in society, partly because of limited affordability (which excludes most of the poorest) and other forms of exclusion, related to caste or social status. Cost-effectiveness and financial sustainability: There is evidence that private schools operate at low cost by keeping teacher salaries low, and their financial situation may be precarious where they are reliant on fees from low-income households. The report showed some cases of successful voucher where there was an oversupply of quality private places and an efficient administrative authority and of subsidy programs. Evaluations of the effectiveness of international support to the sector are rare. Addressing regulatory ineffectiveness is a key challenge. Emerging approaches stress the importance of understanding the political economy of the market for LCPS, specifically how relationships of power and accountability between users, government, and private providers can produce better education outcomes for the poor. Theory Psychology Educational psychology is the study of how humans learn in educational settings, the effectiveness of educational interventions, the psychology of teaching, and the social psychology of schools as organizations. The terms "educational psychology" and "school psychology" are often used interchangeably. Educational psychology is concerned with the processes of educational attainment in the general population and in sub-populations such as gifted children and those with specific disabilities. Educational psychology can in part be understood through its relationship with other disciplines. It is informed primarily by psychology, bearing a relationship to that discipline analogous to the relationship between medicine and biology. Educational psychology, in turn, informs a wide range of specialties within educational studies, including instructional design, educational technology, curriculum development, organizational learning, special education and classroom management. Educational psychology both draws from and contributes to cognitive science and the learning sciences. In universities, departments of educational psychology are usually housed within faculties of education, possibly accounting for the lack of representation of educational psychology content in introductory psychology textbooks (Lucas, Blazek, & Raley, 2006). Intelligence Intelligence is an important factor in how the individual responds to education. Those who have higher scores of intelligence-metrics tend to perform better at school and go on to higher levels of education. This effect is also observable in the opposite direction, in that education increases measurable intelligence. Studies have shown that while educational attainment is important in predicting intelligence in later life, intelligence at 53 is more closely correlated to intelligence at 8 years old than to educational attainment. Learning modalities There has been much interest in learning modalities and styles over the last two decades. The most commonly employed learning modalities are: Visual: learning based on observation and seeing what is being learned. Auditory: learning based on listening to instructions/information. Kinesthetic: learning based on movement, e.g. hands-on work and engaging in activities. Other commonly employed modalities include musical, interpersonal, verbal, logical, and intrapersonal. Dunn and Dunn focused on identifying relevant stimuli that may influence learning and manipulating the school environment, at about the same time as Joseph Renzulli recommended varying teaching strategies. Howard Gardner identified a wide range of modalities in his Multiple Intelligences theories. The Myers-Briggs Type Indicator and Keirsey Temperament Sorter, based on the works of Jung, focus on understanding how people's personality affects the way they interact personally, and how this affects the way individuals respond to each other within the learning environment. The work of David Kolb and Anthony Gregorc's Type Delineator follows a similar but more simplified approach. Some theories propose that all individuals benefit from a variety of learning modalities, while others suggest that individuals may have preferred learning styles, learning more easily through visual or kinesthetic experiences. A consequence of the latter theory is that effective teaching should present a variety of teaching methods which cover all three learning modalities so that different students have equal opportunities to learn in a way that is effective for them. Guy Claxton has questioned the extent that learning styles such as Visual, Auditory and Kinesthetic(VAK) are helpful, particularly as they can have a tendency to label children and therefore restrict learning. Recent research has argued, "there is no adequate evidence base to justify incorporating learning styles assessments into general educational practice." Mind, brain, and education Educational neuroscience is an emerging scientific field that brings together researchers in cognitive neuroscience, developmental cognitive neuroscience, educational psychology, educational technology, education theory and other related disciplines to explore the interactions between biological processes and education. Researchers in educational neuroscience investigate the neural mechanisms of reading, numerical cognition, attention, and their attendant difficulties including dyslexia, dyscalculia, and ADHD as they relate to education. Several academic institutions around the world are beginning to devote resources to the establishment of educational neuroscience research. Philosophy As an academic field, philosophy of education is "the philosophical study of education and its problems its central subject matter is education, and its methods are those of philosophy". "The philosophy of education may be either the philosophy of the process of education or the philosophy of the discipline of education. That is, it may be part of the discipline in the sense of being concerned with the aims, forms, methods, or results of the process of educating or being educated; or it may be metadisciplinary in the sense of being concerned with the concepts, aims, and methods of the discipline." As such, it is both part of the field of education and a field of applied philosophy, drawing from fields of metaphysics, epistemology, axiology and the philosophical approaches (speculative, prescriptive or analytic) to address questions in and about pedagogy, education policy, and curriculum, as well as the process of learning, to name a few. For example, it might study what constitutes upbringing and education, the values and norms revealed through upbringing and educational practices, the limits and legitimization of education as an academic discipline, and the relation between education theory and practice. Purpose There is no broad consensus as to what education's chief aim or aims are or should be. Different places, and at different times, have used educational systems for different purposes. The Prussian education system in the 19th century, for example, wanted to turn boys and girls into adults who would serve the state's political goals. Some authors stress its value to the individual, emphasizing its potential for positively influencing students' personal development, promoting autonomy, forming a cultural identity or establishing a career or occupation. Other authors emphasize education's contributions to societal purposes, including good citizenship, shaping students into productive members of society, thereby promoting society's general economic development, and preserving cultural values. The purpose of education in a given time and place affects who is taught, what is taught, and how the education system behaves. For example, in the 21st century, many countries treat education as a positional good. In this competitive approach, people want their own students to get a better education than other students. This approach can lead to unfair treatment of some students, especially those from disadvantaged or marginalized groups. For example, in this system, a city's school system may draw school district boundaries so that nearly all the students in one school are from low-income families, and that nearly all the students in the neighboring schools come from more affluent families, even though concentrating low-income students in one school results in worse educational achievement for the entire school system. Curriculum In formal education, a curriculum is the set of courses and their content offered at a school or university. As an idea, curriculum stems from the Latin word for race course, referring to the course of deeds and experiences through which children grow to become mature adults. A curriculum is prescriptive and is based on a more general syllabus which merely specifies what topics must be understood and to what level to achieve a particular grade or standard. An academic discipline is a branch of knowledge which is formally taught, either at the university – or via some other such method. Each discipline usually has several sub-disciplines or branches, and distinguishing lines are often both arbitrary and ambiguous. Examples of broad areas of academic disciplines include the natural sciences, mathematics, computer science, social sciences, humanities and applied sciences. Instruction Instruction is the facilitation of another's learning. Instructors in primary and secondary institutions are often called teachers, and they direct the education of students and might draw on many subjects like reading, writing, mathematics, science and history. Instructors in post-secondary institutions might be called teachers, instructors, or professors, depending on the type of institution; and they primarily teach only their specific discipline. Studies from the United States suggest that the quality of teachers is the single most important factor affecting student performance, and that countries which score highly on international tests have multiple policies in place to ensure that the teachers they employ are as effective as possible. With the passing of NCLB in the United States (No Child Left Behind), teachers must be highly qualified. Economics It has been argued that high rates of education are essential for countries to be able to achieve high levels of economic growth. Empirical analyses tend to support the theoretical prediction that poor countries should grow faster than rich countries because they can adopt cutting-edge technologies already tried and tested by rich countries. However, technology transfer requires knowledgeable managers and engineers who are able to operate new machines or production practices borrowed from the leader in order to close the gap through imitation. Therefore, a country's ability to learn from the leader is a function of its stock of "human capital". Recent study of the determinants of aggregate economic growth have stressed the importance of fundamental economic institutions and the role of cognitive skills. At the level of the individual, there is a large literature, generally related to the work of Jacob Mincer, on how earnings are related to the schooling and other human capital. This work has motivated many studies, but is also controversial. The chief controversies revolve around how to interpret the impact of schooling. Some students who have indicated a high potential for learning, by testing with a high intelligence quotient, may not achieve their full academic potential, due to financial difficulties. Economists Samuel Bowles and Herbert Gintis argued in 1976 that there was a fundamental conflict in American schooling between the egalitarian goal of democratic participation and the inequalities implied by the continued profitability of capitalist production. Development The world is changing at an ever quickening rate, which means that a lot of knowledge becomes obsolete and inaccurate more quickly. The emphasis is therefore shifting to teaching the skills of learning: to picking up new knowledge quickly and in as agile a way as possible. Finnish schools have begun to move away from the regular subject-focused curricula, introducing instead developments like phenomenon-based learning, where students study concepts like climate change instead. There are also active educational interventions to implement programs and paths specific to non-traditional students, such as first generation students. Education is also becoming a commodity no longer reserved for children; adults need it too. Some governmental bodies, like the Finnish Innovation Fund Sitra in Finland, have proposed compulsory lifelong education. Studies found that automation is likely to eliminate nearly half the jobs in developed countries during roughly the next two decades. Automation is therefore considered to be a major factor in a "race between education and technology". Automation technologies and their application may render certain currently taught skills and knowledge redundant while increasing the need for other curricula – such as material related to the application of automation. It has been argued that formal education is "teaching workers the wrong things, and that deep reform is essential to facilitate the development of digital knowledge and technical skills, as well as nonroutine cognitive and noncognitive (or "soft") skills" and that the formal state-organized education system – which is built on the Industrial Revolution model and focuses on IQ and memorization is losing relevance. FSchools were found rarely teach in forms of "learning by doing", and many children above a certain age "hate school" in terms of the material and subjects being taught, with much of it being a "waste of time" that gets forgotten quickly and is useless in modern society. Moreover, the material currently being taught may not be taught in a highly time-efficient manner and analyzing educational issues over time and using relevant forms of student feedback in efficiency analysis were found to be important. Some research investigates how education can facilitate students' interest in topics – and jobs – that scientific research, data, economic players, financial markets, and other economic mechanisms consider important to contemporary and future human civilization and states. Research and data indicate future environmental conditions will be "far more dangerous than currently believed", with a review concluding that the current challenges that humanity faces are enormous. The effective resolval of such challenges may require novel lesson plans tailored towards skills and knowledge found to be both required and reasonable to be taught at the respective age with the respective methodology despite novel technological computation and information retrieval technologies such as smartphones, mathematical software and the World Wide Web. Environmental education is not widely taught extensively or facilitated while being potentially important to the protection and generation of – often unquantified – economic value such as clean air that agents of the economy can breathe. Education is often considered to be a national investment which may not always optimize for cost-efficiency while optimizing only in terms of contemporary economic value metrics or evaluations such as of finance and GDP without consideration of economic values or priorizations beyond these tools such as minimized marine pollution and maximized climate change mitigation. Researchers found that there is a growing disconnect between humans and nature and that schools "are not properly preparing students to become the scientists of tomorrow". They also find that critical thought, social responsibility, health and safety are often neglected. According to UNESCO, "for a country to meet the basic needs of its people, the teaching of science is a strategic imperative". One example of a skill not commonly taught in formal education systems around the world but increasingly critical to both the individuals' lives and modern society at large is digital media literacy – the ability to access, analyze, evaluate, create, and act using all forms of modern ICTs, with scientists calling for inclusion of it in curricula as well as for adult education. Studies have shown that active learning rarely applied in schools is highly efficacious. Studies found that massive open online courses offer a pathway to employment that currently bypasses conventional universities and their degree programs while often being more relevant to contemporary economic activities and the students' interests. Such online courses are not commonly part of formal education but are typically both completed and selected entirely on behalf of the student, sometimes with the support of peers over online forums. In contrast, blended learning merges online education with forms of face‐to‐face communication and traditional class-based education in classrooms, revealing itself to have the general capacity for increasingly relevant, resource-efficient and effective approaches to education. Deploying, using, and managing various tools or platforms for education typically imply an increase in economic investment. Expenses for education are often large with many calling for further increases. Potential policies for the development of international open source educational software using latest technologies may minimize costs, hardware requirements, problem-resolval efforts and deployment-times while increasing robustness, security and functional features of the software. COVID-19 pandemic Beginning in early 2020, the COVID-19 pandemic disrupted education systems throughout the world, affecting nearly 1.6 billion learners in more than 190 countries. Closures of schools and other learning spaces have impacted 94 percent of the world's student population, up to 99 percent in low and lower-middle income countries. Many schools made alternative plans during the pandemic, leading to a variety of in-person, hybrid, and online-only plans, which led to challenges for many students, teachers, and families including children with learning disabilities and those learning in a language that is not their native one. As of September 30, 2020 there were 27 countries that had localized school closures. In the United States, an estimated 55.1 million students were forced to cease in-person instruction as of April 10, 2020. A switch to a virtual learning experience is particularly challenging for families that cannot afford the proper technology, such as laptops, printers, or a reliable Internet connection. When schools close, parents are often asked to facilitate the learning of children at home and can struggle to perform this task. This is especially true for parents with limited education and resources. Students who require special education found it difficult to progress through the curriculum without tools and support that they require. Polling suggests that schools that serve a majority of students of color are far less likely to have access to the technology needed for remote learning. Only 66% of Black households in the U.S. had home broadband service in 2019. Only 45% of Black Americans owned a desktop or laptop computer in 2015. Without access to the internet or a computer, Black parents are at a disadvantage in educating their children. The mental health of students has been greatly impacted due to the pandemic. It is estimated that three in ten participating in school at home have had their emotional and mental health negatively impacted. Similarly, the social lives of students have also been upended and this has been detrimental to the health of students worldwide which has also negatively impacted educational quality. This will be an issue for years to come. COVID-19 has shone a light on opportunity gaps and it will be up to educators and policymakers to direct the necessary resources to mitigating them in the coming years. See also Education for Justice Notes References Other references Attribution External links UNESCO Institute for Statistics: International comparable statistics on education systems World Bank Education Systems Approach for Better Education Results (SABER) Education Statistics (EdStats) OECD Education GPS: Statistics and policy analysis, interactive portal OECD Statistics IIEP Publications on Education Systems When Covid-19 closed schools, Black, Hispanic and poor kids took biggest hit in math, reading Main topic articles
9282
https://en.wikipedia.org/wiki/ECHELON
ECHELON
ECHELON, originally a secret government code name, is a surveillance program (signals intelligence/SIGINT collection and analysis network) operated by the United States with the aid of four other signatory states to the UKUSA Security Agreement: Australia, Canada, New Zealand, and the United Kingdom, also known as the Five Eyes. Created in the late 1960s to monitor the military and diplomatic communications of the Soviet Union and its Eastern Bloc allies during the Cold War, the ECHELON project became formally established in 1971. By the end of the 20th century, the system referred to as "ECHELON" had evolved beyond its military and diplomatic origins into "a global system for the interception of private and commercial communications" (mass surveillance and industrial espionage). Name The European Parliament's Temporary Committee on the ECHELON Interception System stated, "It seems likely, in view of the evidence and the consistent pattern of statements from a very wide range of individuals and organisations, including American sources, that its name is in fact ECHELON, although this is a relatively minor detail". The US intelligence community uses many code names (see, for example, CIA cryptonym). Former NSA employee Margaret Newsham said that she worked on the configuration and installation of software that makes up the ECHELON system while employed at Lockheed Martin, from 1974 to 1984 in Sunnyvale, California, in the United States, and in Menwith Hill, England, in the UK. At that time, according to Newsham, the code name ECHELON was NSA's term for the computer network itself. Lockheed called it P415. The software programs were called SILKWORTH and SIRE. A satellite named VORTEX intercepted communications. An image available on the internet of a fragment apparently torn from a job description shows Echelon listed along with several other code names. Britain's The Guardian newspaper summarized the capabilities of the ECHELON system as follows: Documents leaked by the former NSA contractor Edward Snowden revealed that the ECHELON system's collection of satellite data is also referred to as FORNSAT - an abbreviation for "Foreign Satellite Collection". Reporting and disclosures Public disclosures (1972–2000) Former NSA analyst Perry Fellwock, under the pseudonym Winslow Peck, first blew the whistle on ECHELON to Ramparts in 1972, when he revealed the existence of a global network of listening posts and told of his experiences working there. He also revealed the existence of nuclear weapons in Israel in 1972, the widespread involvement of CIA and NSA personnel in drugs and human smuggling, and CIA operatives leading Nationalist Chinese (Taiwan) commandos in burning villages inside PRC borders. In 1982, James Bamford, investigative journalist and author wrote The Puzzle Palace, an in-depth look inside the workings of the NSA, then a super-secret agency, and the massive eavesdropping operation under the codename "SHAMROCK". The NSA has used many codenames, and SHAMROCK was the codename used for ECHELON prior to 1975. In 1988, Margaret Newsham, a Lockheed employee under NSA contract, disclosed the ECHELON surveillance system to members of congress. Newsham told a member of the US Congress that the telephone calls of Strom Thurmond, a Republican US senator, were being collected by the NSA. Congressional investigators determined that "targeting of US political figures would not occur by accident, but was designed into the system from the start." Also in 1988, an article titled "Somebody's Listening", written by investigative journalist Duncan Campbell in the New Statesman, described the signals intelligence gathering activities of a program code-named "ECHELON". James Bamford describes the system as the software controlling the collection and distribution of civilian telecommunications traffic conveyed using communication satellites, with the collection being undertaken by ground stations located in the footprint of the downlink leg. A detailed description of ECHELON was provided by the New Zealand journalist Nicky Hager in his 1996 book Secret Power: New Zealand's Role in the International Spy Network. Two years later, Hager's book was cited by the European Parliament in a report titled "An Appraisal of the Technology of Political Control" (PE 168.184). In March 1999, for the first time in history, the Australian government admitted that news reports about the top secret UKUSA Agreement were true. Martin Brady, the director of Australia's Defence Signals Directorate (DSD, now known as Australian Signals Directorate, or ASD) told the Australian broadcasting channel Nine Network that the DSD "does co-operate with counterpart signals intelligence organisations overseas under the UKUSA relationship." In 2000, James Woolsey, the former Director of the US Central Intelligence Agency, confirmed that US intelligence uses interception systems and keyword searches to monitor European businesses. Lawmakers in the United States feared that the ECHELON system could be used to monitor US citizens. According to The New York Times, the ECHELON system has been "shrouded in such secrecy that its very existence has been difficult to prove." Critics said the ECHELON system emerged from the Cold War as a "Big Brother without a cause". European Parliament investigation (2000–2001) The program's capabilities and political implications were investigated by a committee of the European Parliament during 2000 and 2001 with a report published in 2001. In July 2000, the Temporary Committee on the ECHELON Interception System was established by the European parliament to investigate the surveillance network. It was chaired by the Portuguese politician Carlos Coelho, who was in charge of supervising investigations throughout 2000 and 2001. In May 2001, as the committee finalised its report on the ECHELON system, a delegation travelled to Washington, D.C. to attend meetings with US officials from the following agencies and departments: US Central Intelligence Agency (CIA) US Department of Commerce (DOC) US National Security Agency (NSA) All meetings were cancelled by the US government and the committee was forced to end its trip prematurely. According to a BBC correspondent in May 2001, "The US Government still refuses to admit that Echelon even exists." In July 2001, the Committee released its final report. On 5 September 2001, the European parliament voted to accept the report. The European Parliament stated in its report that the term ECHELON is used in a number of contexts, but that the evidence presented indicates that it was the name for a signals intelligence collection system. The report concludes that, on the basis of information presented, ECHELON was capable of interception and content inspection of telephone calls, fax, e-mail and other data traffic globally through the interception of communication bearers including satellite transmission, public switched telephone networks (which once carried most Internet traffic), and microwave links. Confirmation of ECHELON (2015) Two internal NSA newsletters from January 2011 and July 2012, published as part of Edward Snowden's leaks by the website The Intercept on 3 August 2015, for the first time confirmed that NSA used the code word ECHELON and provided some details about the scope of the program: ECHELON was part of an umbrella program with the code name FROSTING, which was established by the NSA in 1966 to collect and process data from communications satellites. FROSTING had two sub-programs: TRANSIENT: for intercepting Soviet satellite transmissions ECHELON: for intercepting Intelsat satellite transmissions Organization The UKUSA intelligence community was assessed by the European Parliament (EP) in 2000 to include the signals intelligence agencies of each of the member states: the Government Communications Headquarters of the United Kingdom, the National Security Agency of the United States, the Communications Security Establishment of Canada, the Australian Signals Directorate of Australia, and the Government Communications Security Bureau of New Zealand. The EP report concluded that it seemed likely that ECHELON is a method of sorting captured signal traffic, rather than a comprehensive analysis tool. Likely satellite intercept stations In 2001, the EP report (p. 54 ff) listed the following ground stations as likely to have, or to have had, a role in intercepting transmissions from telecommunications satellites: Hong Kong (since closed) Australian Defence Satellite Communications Station (Geraldton, Western Australia) RAF Menwith Hill (Yorkshire, UK) Map (reportedly the largest Echelon facility) Misawa Air Base (Japan) Map GCHQ Bude, formerly known as GCHQ CSO Morwenstow (Cornwall, UK) Map Pine Gap (Northern Territory, Australia – close to Alice Springs) Map Sugar Grove (West Virginia, US) Map (since closed) Yakima Training Center (Washington, US) Map (since closed) GCSB Waihopai (New Zealand) GCSB Tangimoana (New Zealand) CFS Leitrim (Ontario, Canada) Teufelsberg (Berlin, Germany) (closed 1992) – Responsible for listening in to the Eastern Bloc. Other potentially related stations The following stations are listed in the EP report (p. 57 ff) as ones whose roles "cannot be clearly established": Ayios Nikolaos (British Sovereign Base area of Dhekelia, Cyprus – Cyprus) Gibraltar (UK) Diego Garcia (UK) Bad Aibling Station (Bad Aibling, Germany – US) relocated to Griesheim/Darmstadt in 2004. Buckley Space Force Base (Aurora, Colorado, US) Fort Gordon (Georgia, US) CFB Gander (Newfoundland and Labrador, Canada) Guam (Pacific Ocean, US) Kunia Regional SIGINT Operations Center (Hawaii, US) Lackland Air Force Base, Medina Annex (San Antonio, Texas, US) RAF Edzell (Scotland) RAF Boulmer (England) History and context The ability to intercept communications depends on the medium used, be it radio, satellite, microwave, cellular or fiber-optic. During World War II and through the 1950s, high-frequency ("short-wave") radio was widely used for military and diplomatic communication and could be intercepted at great distances. The rise of geostationary communications satellites in the 1960s presented new possibilities for intercepting international communications. In 1964, plans for the establishment of the ECHELON network took off after dozens of countries agreed to establish the International Telecommunications Satellite Organization (Intelsat), which would own and operate a global constellation of communications satellites. In 1966, the first Intelsat satellite was launched into orbit. From 1970 to 1971, the Government Communications Headquarters (GCHQ) of Britain began to operate a secret signal station at Morwenstow, near Bude in Cornwall, England. The station intercepted satellite communications over the Atlantic and Indian Oceans. Soon afterwards, the US National Security Agency (NSA) built a second signal station at Yakima, near Seattle, for the interception of satellite communications over the Pacific Ocean. In 1981, GCHQ and the NSA started the construction of the first global wide area network (WAN). Soon after Australia, Canada, and New Zealand joined the ECHELON system. The report to the European Parliament of 2001 states: "If UKUSA states operate listening stations in the relevant regions of the earth, in principle they can intercept all telephone, fax, and data traffic transmitted via such satellites." Most reports on ECHELON focus on satellite interception. Testimony before the European Parliament indicated that separate but similar UKUSA systems are in place to monitor communication through undersea cables, microwave transmissions, and other lines. The report to the European Parliament points out that interception of private communications by foreign intelligence services is not necessarily limited to the US or British foreign intelligence services. The role of satellites in point-to-point voice and data communications has largely been supplanted by fiber optics. In 2006, 99% of the world's long-distance voice and data traffic was carried over optical-fiber. The proportion of international communications accounted for by satellite links is said to have decreased substantially to an amount between 0.4% and 5% in Central Europe. Even in less-developed parts of the world, communications satellites are used largely for point-to-multipoint applications, such as video. Thus, the majority of communications can no longer be intercepted by earth stations; they can only be collected by tapping cables and intercepting line-of-sight microwave signals, which is possible only to a limited extent. Concerns British journalist Duncan Campbell and New Zealand journalist Nicky Hager said in the 1990s that the United States was exploiting ECHELON traffic for industrial espionage, rather than military and diplomatic purposes. Examples alleged by the journalists include the gear-less wind turbine technology designed by the German firm Enercon and the speech technology developed by the Belgian firm Lernout & Hauspie. In 2001, the Temporary Committee on the ECHELON Interception System recommended to the European Parliament that citizens of member states routinely use cryptography in their communications to protect their privacy, because economic espionage with ECHELON has been conducted by the US intelligence agencies. American author James Bamford provides an alternative view, highlighting that legislation prohibits the use of intercepted communications for commercial purposes, although he does not elaborate on how intercepted communications are used as part of an all-source intelligence process. In its report, the committee of the European Parliament stated categorically that the Echelon network was being used to intercept not only military communications, but also private and business ones. In its epigraph to the report, the parliamentary committee quoted Juvenal, "Sed quis custodiet ipsos custodes. ("But who will watch the watchers"). James Bamford, in The Guardian in May 2001, warned that if Echelon were to continue unchecked, it could become a "cyber secret police, without courts, juries, or the right to a defence". Alleged examples of espionage conducted by the members of the "Five Eyes" include: On behalf of the British Prime Minister Margaret Thatcher, the Communications Security Establishment allegedly spied on two British cabinet ministers in 1983. The US National Security Agency spied on and intercepted the phone calls of Diana, Princess of Wales right up until she died in a Paris car crash with Dodi Fayed in 1997. The NSA currently holds 1,056 pages of classified information about Princess Diana, which has been classified as top secret "because their disclosure could reasonably be expected to cause exceptionally grave damage to the national security ... the damage would be caused not by the information about Diana, but because the documents would disclose 'sources and methods' of US intelligence gathering". An official said that "the references to Diana in intercepted conversations were 'incidental'," and she was never a 'target' of the NSA eavesdropping. UK agents monitored the conversations of the 7th Secretary-General of the United Nations, Kofi Annan. US agents gathered "detailed biometric information" on the 8th Secretary-General of the United Nations, Ban Ki-Moon. In the early 1990s, the US National Security Agency intercepted the communications between the European aerospace company Airbus and the Saudi Arabian national airline. In 1994, Airbus lost a $6 billion contract with Saudi Arabia after the NSA, acting as a whistleblower, reported that Airbus officials had been bribing Saudi officials to secure the contract. As a result, the American aerospace company McDonnell Douglas (now part of Boeing) won the multibillion-dollar contract instead of Airbus. The United States defense contractor Raytheon won a US$1.3 billion contract with the Government of Brazil to monitor the Amazon rainforest after the US Central Intelligence Agency (CIA), acting as a whistleblower, reported that Raytheon's French competitor Thomson-Alcatel had been paying bribes to get the contract. In order to boost the United States position in trade negotiations with the then Japanese Trade Minister Ryutaro Hashimoto, in 1995 the CIA eavesdropped on the conversations between Japanese bureaucrats and executives of car manufacturers Toyota and Nissan. Workings The first United States satellite ground station for the ECHELON collection program was built in 1971 at a military firing and training center near Yakima, Washington. The facility, which was codenamed JACKKNIFE, was an investment of ca. 21.3 million dollars and had around 90 people. Satellite traffic was intercepted by a 30-meter single-dish antenna. The station became fully operational on 4 October 1974. It was connected with NSA headquarters at Fort Meade by a 75-baud secure Teletype orderwire channel. In 1999 the Australian Senate Joint Standing Committee on Treaties was told by Professor Desmond Ball that the Pine Gap facility was used as a ground station for a satellite-based interception network. The satellites were said to be large radio dishes between 20 and 100 meters in diameter in geostationary orbits. The original purpose of the network was to monitor the telemetry from 1970s Soviet weapons, air defence and other radars' capabilities, satellites' ground stations' transmissions and ground-based microwave communications. Examples of industrial espionage In 1999, Enercon, a German company and leading manufacturer of wind energy equipment, developed a breakthrough generator for wind turbines. After applying for a US patent, it had learned that Kenetech, an American rival, had submitted an almost identical patent application shortly before. By the statement of a former NSA employee, it was later discovered that the NSA had secretly intercepted and monitored Enercon's data communications and conference calls and passed information regarding the new generator to Kenetech. As German intelligence services are forbidden from engaging in industrial or economic espionage, German companies are frequently complaining that this leaves them defenceless against industrial espionage from the United States. According to Wolfgang Hoffmann, a former manager at Bayer, German intelligence services know which companies are being targeted by US intelligence agencies, but refuse to inform the companies involved. See also 2013 mass surveillance disclosures ADVISE Frenchelon List of government surveillance projects Mass surveillance Onyx (interception system), the Swiss "Echelon" Operation Ivy Bells Bibliography Aldrich, Richard J.; GCHQ: The Uncensored Story of Britain's Most Secret Intelligence Agency, HarperCollins, July 2010. Bamford, James; The Puzzle Palace, Penguin, ; 1983 Bamford, James; The Shadow Factory: The Ultra-Secret NSA from 9/11 to the Eavesdropping on America, Doubleday, ; 2008 Hager, Nicky; Secret Power: New Zealand's Role in the International Spy Network; Craig Potton Publishing, Nelson, NZ; ; 1996 Keefe, Patrick Radden Chatter: Dispatches from the Secret World of Global Eavesdropping; Random House Publishing, New York, NY; ; 2005 Lawner, Kevin J.; Post-Sept. 11th International Surveillance Activity - A Failure of Intelligence: The Echelon Interception System & the Fundamental Right to Privacy in Europe, 14 Pace Int'l L. Rev. 435 (2002) Notes and references External links Anglosphere National Security Agency Government databases in the United States Privacy in the United States Signals intelligence Mass surveillance Privacy of telecommunications Lockheed Martin Mass intelligence-gathering systems Cyberwarfare Surveillance databases Global surveillance Lockheed Corporation Cold War history of Australia
9288
https://en.wikipedia.org/wiki/Elvis%20Presley
Elvis Presley
Elvis Aaron Presley (January 8, 1935 – August 16, 1977) was an American singer and actor. Dubbed the "King of Rock and Roll", he is regarded as one of the most significant cultural icons of the 20th century. His energized interpretations of songs and sexually provocative performance style, combined with a singularly potent mix of influences across color lines during a transformative era in race relations, led him to both great success and initial controversy. Presley was born in Tupelo, Mississippi, and relocated to Memphis, Tennessee, with his family when he was 13 years old. His music career began there in 1954, recording at Sun Records with producer Sam Phillips, who wanted to bring the sound of African-American music to a wider audience. Presley, on rhythm acoustic guitar, and accompanied by lead guitarist Scotty Moore and bassist Bill Black, was a pioneer of rockabilly, an uptempo, backbeat-driven fusion of country music and rhythm and blues. In 1955, drummer D. J. Fontana joined to complete the lineup of Presley's classic quartet and RCA Victor acquired his contract in a deal arranged by Colonel Tom Parker, who would manage him for more than two decades. Presley's first RCA Victor single, "Heartbreak Hotel", was released in January 1956 and became a number-one hit in the United States. Within a year, RCA would sell ten million Presley singles. With a series of successful network television appearances and chart-topping records, Presley became the leading figure of the newly popular sound of rock and roll. In November 1956, Presley made his film debut in Love Me Tender. Drafted into military service in 1958, Presley relaunched his recording career two years later with some of his most commercially successful work. He held few concerts, however, and guided by Parker, proceeded to devote much of the 1960s to making Hollywood films and soundtrack albums, most of them critically derided. In 1968, following a seven-year break from live performances, he returned to the stage in the acclaimed television comeback special Elvis, which led to an extended Las Vegas concert residency and a string of highly profitable tours. In 1973, Presley gave the first concert by a solo artist to be broadcast around the world, Aloha from Hawaii. Years of prescription drug abuse and unhealthy eating habits severely compromised his health, and he died suddenly in 1977 at his Graceland estate at the age of 42. Having sold over 500 million records worldwide, Presley is recognized as the best-selling solo music artist of all time by Guinness World Records. He was commercially successful in many genres, including pop, country, R&B, adult contemporary, and gospel. Presley won three Grammy Awards, received the Grammy Lifetime Achievement Award at age 36, and has been inducted into multiple music halls of fame. He holds several records, including the most RIAA certified gold and platinum albums, the most albums charted on the Billboard 200, the most number-one albums by a solo artist on the UK Albums Chart, and the most number-one singles by any act on the UK Singles Chart. In 2018, Presley was posthumously awarded the Presidential Medal of Freedom by Donald Trump. Life and career 1935–1953: Early years Childhood in Tupelo Elvis Aaron Presley was born on January 8, 1935, in Tupelo, Mississippi, to Vernon Elvis (April 10, 1916 – June 26, 1979) and Gladys Love (née Smith; April 25, 1912 – August 14, 1958) Presley in a two-room shotgun house that his father built for the occasion. Elvis's identical twin brother, Jesse Garon Presley, was delivered 35 minutes before him, stillborn. Presley became close to both parents and formed an especially close bond with his mother. The family attended an Assembly of God church, where he found his initial musical inspiration. Presley's father, Vernon, was of German, Scottish and English origins. Presley's mother, Gladys, was of Scots-Irish with some French Norman ancestry. His mother, Gladys, and the rest of the family, apparently believed that her great-great-grandmother, Morning Dove White, was Cherokee; this was confirmed by Elvis's granddaughter Riley Keough in 2017. Elaine Dundy, in her biography, supports the belief. Gladys was regarded by relatives and friends as the dominant member of the small family. Vernon moved from one odd job to the next, showing little ambition. The family often relied on help from neighbors and government food assistance. In 1938, they lost their home after Vernon was found guilty of altering a check written by his landowner and sometime-employer. He was jailed for eight months, while Gladys and Elvis moved in with relatives. In September 1941, Presley entered first grade at East Tupelo Consolidated, where his teachers regarded him as "average". He was encouraged to enter a singing contest after impressing his schoolteacher with a rendition of Red Foley's country song "Old Shep" during morning prayers. The contest, held at the Mississippi–Alabama Fair and Dairy Show on October 3, 1945, was his first public performance. The ten-year-old Presley was dressed as a cowboy; he stood on a chair to reach the microphone and sang "Old Shep". He recalled placing fifth. A few months later, Presley received his first guitar for his birthday; he had hoped for something else—by different accounts, either a bicycle or a rifle. Over the following year, he received basic guitar lessons from two of his uncles and the new pastor at the family's church. Presley recalled, "I took the guitar, and I watched people, and I learned to play a little bit. But I would never sing in public. I was very shy about it." In September 1946, Presley entered a new school, Milam, for sixth grade; he was regarded as a loner. The following year, he began bringing his guitar to school on a daily basis. He played and sang during lunchtime, and was often teased as a "trashy" kid who played hillbilly music. By then, the family was living in a largely black neighborhood. Presley was a devotee of Mississippi Slim's show on the Tupelo radio station WELO. He was described as "crazy about music" by Slim's younger brother, who was one of Presley's classmates and often took him into the station. Slim supplemented Presley's guitar instruction by demonstrating chord techniques. When his protégé was twelve years old, Slim scheduled him for two on-air performances. Presley was overcome by stage fright the first time, but succeeded in performing the following week. Teenage life in Memphis In November 1948, the family moved to Memphis, Tennessee. After residing for nearly a year in rooming houses, they were granted a two-bedroom apartment in the public housing complex known as the Lauderdale Courts. Enrolled at L. C. Humes High School, Presley received only a C in music in eighth grade. When his music teacher told him that he had no aptitude for singing, he brought in his guitar the next day and sang a recent hit, "Keep Them Cold Icy Fingers Off Me", to prove otherwise. A classmate later recalled that the teacher "agreed that Elvis was right when he said that she didn't appreciate his kind of singing". He was usually too shy to perform openly, and was occasionally bullied by classmates who viewed him as a "mama's boy". In 1950, he began practicing guitar regularly under the tutelage of Lee Denson, a neighbor two and a half years his senior. They and three other boys—including two future rockabilly pioneers, brothers Dorsey and Johnny Burnette—formed a loose musical collective that played frequently around the Courts. That September, he began working as an usher at Loew's State Theater. Other jobs followed: Precision Tool, Loew's again, and MARL Metal Products. Presley also helped Jewish neighbors, the Fruchters, by being their shabbos goy. During his junior year, Presley began to stand out more among his classmates, largely because of his appearance: he grew his sideburns and styled his hair with rose oil and Vaseline. In his free time, he would head down to Beale Street, the heart of Memphis's thriving blues scene, and gaze longingly at the wild, flashy clothes in the windows of Lansky Brothers. By his senior year, he was wearing those clothes. Overcoming his reticence about performing outside the Lauderdale Courts, he competed in Humes' Annual "Minstrel" show in April 1953. Singing and playing guitar, he opened with "Till I Waltz Again with You", a recent hit for Teresa Brewer. Presley recalled that the performance did much for his reputation: "I wasn't popular in school ... I failed music—only thing I ever failed. And then they entered me in this talent show ... when I came onstage I heard people kind of rumbling and whispering and so forth, 'cause nobody knew I even sang. It was amazing how popular I became in school after that." Presley, who received no formal music training and could not read music, studied and played by ear. He also frequented record stores that provided jukeboxes and listening booths to customers. He knew all of Hank Snow's songs, and he loved records by other country singers such as Roy Acuff, Ernest Tubb, Ted Daffan, Jimmie Rodgers, Jimmie Davis, and Bob Wills. The Southern gospel singer Jake Hess, one of his favorite performers, was a significant influence on his ballad-singing style. He was a regular audience member at the monthly All-Night Singings downtown, where many of the white gospel groups that performed reflected the influence of African-American spiritual music. He adored the music of black gospel singer Sister Rosetta Tharpe. Like some of his peers, he may have attended blues venues—of necessity, in the segregated South, only on nights designated for exclusively white audiences. He certainly listened to the regional radio stations, such as WDIA-AM, that played "race records": spirituals, blues, and the modern, backbeat-heavy sound of rhythm and blues. Many of his future recordings were inspired by local African-American musicians such as Arthur Crudup and Rufus Thomas. B.B. King recalled that he had known Presley before he was popular when they both used to frequent Beale Street. By the time he graduated from high school in June 1953, Presley had already singled out music as his future. 1953–1956: First recordings Sam Phillips and Sun Records In August 1953, Presley checked into the offices of Sun Records. He aimed to pay for a few minutes of studio time to record a two-sided acetate disc: "My Happiness" and "That's When Your Heartaches Begin". He later claimed that he intended the record as a birthday gift for his mother, or that he was merely interested in what he "sounded like", although there was a much cheaper, amateur record-making service at a nearby general store. Biographer Peter Guralnick argued that he chose Sun in the hope of being discovered. Asked by receptionist Marion Keisker what kind of singer he was, Presley responded, "I sing all kinds." When she pressed him on who he sounded like, he repeatedly answered, "I don't sound like nobody." After he recorded, Sun boss Sam Phillips asked Keisker to note down the young man's name, which she did along with her own commentary: "Good ballad singer. Hold." In January 1954, Presley cut a second acetate at Sun Records—"I'll Never Stand in Your Way" and "It Wouldn't Be the Same Without You"—but again nothing came of it. Not long after, he failed an audition for a local vocal quartet, the Songfellows. He explained to his father, "They told me I couldn't sing." Songfellow Jim Hamill later claimed that he was turned down because he did not demonstrate an ear for harmony at the time. In April, Presley began working for the Crown Electric company as a truck driver. His friend Ronnie Smith, after playing a few local gigs with him, suggested he contact Eddie Bond, leader of Smith's professional band, which had an opening for a vocalist. Bond rejected him after a tryout, advising Presley to stick to truck driving "because you're never going to make it as a singer". Phillips, meanwhile, was always on the lookout for someone who could bring to a broader audience the sound of the black musicians on whom Sun focused. As Keisker reported, "Over and over I remember Sam saying, 'If I could find a white man who had the Negro sound and the Negro feel, I could make a billion dollars.'" In June, he acquired a demo recording by Jimmy Sweeney of a ballad, "Without You", that he thought might suit the teenage singer. Presley came by the studio but was unable to do it justice. Despite this, Phillips asked Presley to sing as many numbers as he knew. He was sufficiently affected by what he heard to invite two local musicians, guitarist Winfield "Scotty" Moore and upright bass player Bill Black, to work something up with Presley for a recording session. The session held the evening of July 5, proved entirely unfruitful until late in the night. As they were about to abort and go home, Presley took his guitar and launched into a 1946 blues number, Arthur Crudup's "That's All Right". Moore recalled, "All of a sudden, Elvis just started singing this song, jumping around and acting the fool, and then Bill picked up his bass, and he started acting the fool, too, and I started playing with them. Sam, I think, had the door to the control booth open ... he stuck his head out and said, 'What are you doing?' And we said, 'We don't know.' 'Well, back up,' he said, 'try to find a place to start, and do it again.'" Phillips quickly began taping; this was the sound he had been looking for. Three days later, popular Memphis DJ Dewey Phillips played "That's All Right" on his Red, Hot, and Blue show. Listeners began phoning in, eager to find out who the singer was. The interest was such that Phillips played the record repeatedly during the remaining two hours of his show. Interviewing Presley on-air, Phillips asked him what high school he attended to clarify his color for the many callers who had assumed that he was black. During the next few days, the trio recorded a bluegrass song, Bill Monroe's "Blue Moon of Kentucky", again in a distinctive style and employing a jury-rigged echo effect that Sam Phillips dubbed "slapback". A single was pressed with "That's All Right" on the A-side and "Blue Moon of Kentucky" on the reverse. Early live performances and RCA Victor contract The trio played publicly for the first time on July 17 at the Bon Air club—Presley still sporting his child-size guitar. At the end of the month, they appeared at the Overton Park Shell, with Slim Whitman headlining. Here Elvis pioneered 'Rubber Legs', his signature style dance movement that he is best known for. A combination of his strong response to rhythm and nervousness at playing before a large crowd led Presley to shake his legs as he performed: his wide-cut pants emphasized his movements, causing young women in the audience to start screaming. Moore recalled, "During the instrumental parts, he would back off from the mike and be playing and shaking, and the crowd would just go wild". Black, a natural showman, whooped and rode his bass, hitting double licks that Presley would later remember as "really a wild sound, like a jungle drum or something". Soon after, Moore and Black left their old band, the Starlite Wranglers, to play with Presley regularly, and DJ/promoter Bob Neal became the trio's manager. From August through October, they played frequently at the Eagle's Nest club and returned to Sun Studio for more recording sessions, and Presley quickly grew more confident on stage. According to Moore, "His movement was a natural thing, but he was also very conscious of what got a reaction. He'd do something one time and then he would expand on it real quick." Presley made what would be his only appearance on Nashville's Grand Ole Opry stage on October 2; after a polite audience response, Opry manager Jim Denny told Phillips that his singer was "not bad" but did not suit the program. Louisiana Hayride, radio commercial, and first television performances In November 1954, Presley performed on Louisiana Hayride—the Oprys chief, and more adventurous, rival. The Shreveport-based show was broadcast to 198 radio stations in 28 states. Presley had another attack of nerves during the first set, which drew a muted reaction. A more composed and energetic second set inspired an enthusiastic response. House drummer D. J. Fontana brought a new element, complementing Presley's movements with accented beats that he had mastered playing in strip clubs. Soon after the show, the Hayride engaged Presley for a year's worth of Saturday-night appearances. Trading in his old guitar for $8 (and seeing it promptly dispatched to the garbage), he purchased a Martin instrument for $175 (), and his trio began playing in new locales, including Houston, Texas and Texarkana, Arkansas. Many fledgling performers, like Minnie Pearl, Johnny Horton, and Johnny Cash, sang the praises of Louisiana Hayride sponsor, Southern Maid Donuts, including Elvis Presley, who developed a lifelong love of doughnuts. Presley made his singular product endorsement commercial for the doughnut company, which was never released, recording a radio jingle, "in exchange for a box of hot glazed doughnuts." Elvis made his first television appearance on the KSLA-TV television broadcast of Louisiana Hayride. Soon after, he failed an audition for Arthur Godfrey's Talent Scouts on the CBS television network. By early 1955, Presley's regular Hayride appearances, constant touring, and well-received record releases had made him a regional star, from Tennessee to West Texas. In January, Neal signed a formal management contract with Presley and brought him to the attention of Colonel Tom Parker, whom he considered the best promoter in the music business. Parker—who claimed to be from West Virginia (he was actually Dutch)—had acquired an honorary colonel's commission from country singer turned Louisiana governor Jimmie Davis. Having successfully managed top country star Eddy Arnold, Parker was working with the new number-one country singer, Hank Snow. Parker booked Presley on Snow's February tour. When the tour reached Odessa, Texas, a 19-year-old Roy Orbison saw Presley for the first time: "His energy was incredible, his instinct was just amazing. ... I just didn't know what to make of it. There was just no reference point in the culture to compare it." By August, Sun had released ten sides credited to "Elvis Presley, Scotty and Bill"; on the latest recordings, the trio were joined by a drummer. Some of the songs, like "That's All Right", were in what one Memphis journalist described as the "R&B idiom of negro field jazz"; others, like "Blue Moon of Kentucky", were "more in the country field", "but there was a curious blending of the two different musics in both". This blend of styles made it difficult for Presley's music to find radio airplay. According to Neal, many country-music disc jockeys would not play it because he sounded too much like a black artist and none of the rhythm-and-blues stations would touch him because "he sounded too much like a hillbilly." The blend came to be known as rockabilly. At the time, Presley was variously billed as "The King of Western Bop", "The Hillbilly Cat", and "The Memphis Flash". Presley renewed Neal's management contract in August 1955, simultaneously appointing Parker as his special adviser. The group maintained an extensive touring schedule throughout the second half of the year. Neal recalled, "It was almost frightening, the reaction that came to Elvis from the teenaged boys. So many of them, through some sort of jealousy, would practically hate him. There were occasions in some towns in Texas when we'd have to be sure to have a police guard because somebody'd always try to take a crack at him. They'd get a gang and try to waylay him or something." The trio became a quartet when Hayride drummer Fontana joined as a full member. In mid-October, they played a few shows in support of Bill Haley, whose "Rock Around the Clock" track had been a number-one hit the previous year. Haley observed that Presley had a natural feel for rhythm, and advised him to sing fewer ballads. At the Country Disc Jockey Convention in early November, Presley was voted the year's most promising male artist. Several record companies had by now shown interest in signing him. After three major labels made offers of up to $25,000, Parker and Phillips struck a deal with RCA Victor on November 21 to acquire Presley's Sun contract for an unprecedented $40,000. Presley, at 20, was still a minor, so his father signed the contract. Parker arranged with the owners of Hill & Range Publishing, Jean and Julian Aberbach, to create two entities, Elvis Presley Music and Gladys Music, to handle all the new material recorded by Presley. Songwriters were obliged to forgo one-third of their customary royalties in exchange for having him perform their compositions. By December, RCA Victor had begun to heavily promote its new singer, and before month's end had reissued many of his Sun recordings. 1956–1958: Commercial breakout and controversy First national TV appearances and debut album On January 10, 1956, Presley made his first recordings for RCA Victor in Nashville. Extending Presley's by-now customary backup of Moore, Black, Fontana, and Hayride pianist Floyd Cramer—who had been performing at live club dates with Presley—RCA Victor enlisted guitarist Chet Atkins and three background singers, including Gordon Stoker of the popular Jordanaires quartet, to fill in the sound. The session produced the moody, unusual "Heartbreak Hotel", released as a single on January 27. Parker finally brought Presley to national television, booking him on CBS's Stage Show for six appearances over two months. The program, produced in New York, was hosted on alternate weeks by big band leaders and brothers Tommy and Jimmy Dorsey. After his first appearance, on January 28, Presley stayed in town to record at the RCA Victor New York studio. The sessions yielded eight songs, including a cover of Carl Perkins' rockabilly anthem "Blue Suede Shoes". In February, Presley's "I Forgot to Remember to Forget", a Sun recording initially released the previous August, reached the top of the Billboard country chart. Neal's contract was terminated, and, on March 2, Parker became Presley's manager. RCA Victor released Presley's self-titled debut album on March 23. Joined by five previously unreleased Sun recordings, its seven recently recorded tracks were of a broad variety. There were two country songs and a bouncy pop tune. The others would centrally define the evolving sound of rock and roll: "Blue Suede Shoes"—"an improvement over Perkins' in almost every way", according to critic Robert Hilburn—and three R&B numbers that had been part of Presley's stage repertoire for some time, covers of Little Richard, Ray Charles, and The Drifters. As described by Hilburn, these "were the most revealing of all. Unlike many white artists ... who watered down the gritty edges of the original R&B versions of songs in the '50s, Presley reshaped them. He not only injected the tunes with his own vocal character but also made guitar, not piano, the lead instrument in all three cases." It became the first rock and roll album to top the Billboard chart, a position it held for 10 weeks. While Presley was not an innovative guitarist like Moore or contemporary African-American rockers Bo Diddley and Chuck Berry, cultural historian Gilbert B. Rodman argued that the album's cover image, "of Elvis having the time of his life on stage with a guitar in his hands played a crucial role in positioning the guitar ... as the instrument that best captured the style and spirit of this new music." Milton Berle Show and "Hound Dog" On April 3, Presley made the first of two appearances on NBC's Milton Berle Show. His performance, on the deck of the USS Hancock in San Diego, California, prompted cheers and screams from an audience of sailors and their dates. A few days later, a flight taking Presley and his band to Nashville for a recording session left all three badly shaken when an engine died and the plane almost went down over Arkansas. Twelve weeks after its original release, "Heartbreak Hotel" became Presley's first number-one pop hit. In late April, Presley began a two-week residency at the New Frontier Hotel and Casino on the Las Vegas Strip. The shows were poorly received by the conservative, middle-aged hotel guests—"like a jug of corn liquor at a champagne party", wrote a critic for Newsweek. Amid his Vegas tenure, Presley, who had serious acting ambitions, signed a seven-year contract with Paramount Pictures. He began a tour of the Midwest in mid-May, taking in 15 cities in as many days. He had attended several shows by Freddie Bell and the Bellboys in Vegas and was struck by their cover of "Hound Dog", a hit in 1953 for blues singer Big Mama Thornton by songwriters Jerry Leiber and Mike Stoller. It became the new closing number of his act. After a show in La Crosse, Wisconsin, an urgent message on the letterhead of the local Catholic diocese's newspaper was sent to FBI director J. Edgar Hoover. It warned that "Presley is a definite danger to the security of the United States. ... [His] actions and motions were such as to rouse the sexual passions of teenaged youth. ... After the show, more than 1,000 teenagers tried to gang into Presley's room at the auditorium. ... Indications of the harm Presley did just in La Crosse were the two high school girls ... whose abdomen and thigh had Presley's autograph." The second Milton Berle Show appearance came on June 5 at NBC's Hollywood studio, amid another hectic tour. Berle persuaded Presley to leave his guitar backstage, advising, "Let 'em see you, son." During the performance, Presley abruptly halted an uptempo rendition of "Hound Dog" with a wave of his arm and launched into a slow, grinding version accentuated with energetic, exaggerated body movements. Presley's gyrations created a storm of controversy. Television critics were outraged: Jack Gould of The New York Times wrote, "Mr. Presley has no discernible singing ability. ... His phrasing, if it can be called that, consists of the stereotyped variations that go with a beginner's aria in a bathtub. ... His one specialty is an accented movement of the body ... primarily identified with the repertoire of the blond bombshells of the burlesque runway." Ben Gross of the New York Daily News opined that popular music "has reached its lowest depths in the 'grunt and groin' antics of one Elvis Presley. ... Elvis, who rotates his pelvis ... gave an exhibition that was suggestive and vulgar, tinged with the kind of animalism that should be confined to dives and bordellos". Ed Sullivan, whose own variety show was the nation's most popular, declared him "unfit for family viewing". To Presley's displeasure, he soon found himself being referred to as "Elvis the Pelvis", which he called "one of the most childish expressions I ever heard, comin' from an adult." Steve Allen Show and first Sullivan appearance The Berle shows drew such high ratings that Presley was booked for a July 1 appearance on NBC's Steve Allen Show in New York. Allen, no fan of rock and roll, introduced a "new Elvis" in a white bow tie and black tails. Presley sang "Hound Dog" for less than a minute to a basset hound wearing a top hat and bow tie. As described by television historian Jake Austen, "Allen thought Presley was talentless and absurd ... [he] set things up so that Presley would show his contrition". Allen later wrote that he found Presley's "strange, gangly, country-boy charisma, his hard-to-define cuteness, and his charming eccentricity intriguing" and simply worked him into the customary "comedy fabric" of his program. Just before the final rehearsal for the show, Presley told a reporter, "I'm holding down on this show. I don't want to do anything to make people dislike me. I think TV is important so I'm going to go along, but I won't be able to give the kind of show I do in a personal appearance." Presley would refer back to the Allen show as the most ridiculous performance of his career. Later that night, he appeared on Hy Gardner Calling, a popular local TV show. Pressed on whether he had learned anything from the criticism to which he was being subjected, Presley responded, "No, I haven't, I don't feel like I'm doing anything wrong. ... I don't see how any type of music would have any bad influence on people when it's only music. ... I mean, how would rock 'n' roll music make anyone rebel against their parents?" The next day, Presley recorded "Hound Dog", along with "Any Way You Want Me" and "Don't Be Cruel". The Jordanaires sang harmony, as they had on The Steve Allen Show; they would work with Presley through the 1960s. A few days later, Presley made an outdoor concert appearance in Memphis, at which he announced, "You know, those people in New York are not gonna change me none. I'm gonna show you what the real Elvis is like tonight." In August, a judge in Jacksonville, Florida, ordered Presley to tame his act. Throughout the following performance, he largely kept still, except for wiggling his little finger suggestively in mockery of the order. The single pairing "Don't Be Cruel" with "Hound Dog" ruled the top of the charts for 11 weeks—a mark that would not be surpassed for 36 years. Recording sessions for Presley's second album took place in Hollywood during the first week of September. Leiber and Stoller, the writers of "Hound Dog", contributed "Love Me". Allen's show with Presley had, for the first time, beaten CBS's Ed Sullivan Show in the ratings. Sullivan, despite his June pronouncement, booked Presley for three appearances for an unprecedented $50,000. The first, on September 9, 1956, was seen by approximately 60 million viewers—a record 82.6 percent of the television audience. Actor Charles Laughton hosted the show, filling in while Sullivan was recovering from a car accident. Presley appeared in two segments that night from CBS Television City in Los Angeles. According to Elvis legend, Presley was shot only from the waist up. Watching clips of the Allen and Berle shows with his producer, Sullivan had opined that Presley "got some kind of device hanging down below the crotch of his pants—so when he moves his legs back and forth you can see the outline of his cock. ... I think it's a Coke bottle. ... We just can't have this on a Sunday night. This is a family show!" Sullivan publicly told TV Guide, "As for his gyrations, the whole thing can be controlled with camera shots." In fact, Presley was shown head-to-toe in the first and second shows. Though the camerawork was relatively discreet during his debut, with leg-concealing closeups when he danced, the studio audience reacted in customary style: screaming. Presley's performance of his forthcoming single, the ballad "Love Me Tender", prompted a record-shattering million advance orders. More than any other single event, it was this first appearance on The Ed Sullivan Show that made Presley a national celebrity of barely precedented proportions. Accompanying Presley's rise to fame, a cultural shift was taking place that he both helped inspire and came to symbolize. Igniting the "biggest pop craze since Glenn Miller and Frank Sinatra ... Presley brought rock'n'roll into the mainstream of popular culture", writes historian Marty Jezer. "As Presley set the artistic pace, other artists followed. ... Presley, more than anyone else, gave the young a belief in themselves as a distinct and somehow unified generation—the first in America ever to feel the power of an integrated youth culture." Crazed crowds and film debut The audience response at Presley's live shows became increasingly fevered. Moore recalled, "He'd start out, 'You ain't nothin' but a Hound Dog,' and they'd just go to pieces. They'd always react the same way. There'd be a riot every time." At the two concerts he performed in September at the Mississippi–Alabama Fair and Dairy Show, 50 National Guardsmen were added to the police security to ensure that the crowd would not cause a ruckus. Elvis, Presley's second RCA Victor album, was released in October and quickly rose to number one on the billboard. The album includes "Old Shep", which he sang at the talent show in 1945, and which now marked the first time he played piano on an RCA Victor session. According to Guralnick, one can hear "in the halting chords and the somewhat stumbling rhythm both the unmistakable emotion and the equally unmistakable valuing of emotion over technique." Assessing the musical and cultural impact of Presley's recordings from "That's All Right" through Elvis, rock critic Dave Marsh wrote that "these records, more than any others, contain the seeds of what rock & roll was, has been and most likely what it may foreseeably become." Presley returned to the Sullivan show at its main studio in New York, hosted this time by its namesake, on October 28. After the performance, crowds in Nashville and St. Louis burned him in effigy. His first motion picture, Love Me Tender, was released on November 21. Though he was not top-billed, the film's original title—The Reno Brothers—was changed to capitalize on his latest number-one record: "Love Me Tender" had hit the top of the charts earlier that month. To further take advantage of Presley's popularity, four musical numbers were added to what was originally a straight acting role. The film was panned by critics but did very well at the box office. Presley would receive top billing on every subsequent film he made. On December 4, Presley dropped into Sun Records where Carl Perkins and Jerry Lee Lewis were recording and had an impromptu jam session along with Johnny Cash. Though Phillips no longer had the right to release any Presley material, he made sure that the session was captured on tape. The results, none officially released for 25 years, became known as the "Million Dollar Quartet" recordings. The year ended with a front-page story in The Wall Street Journal reporting that Presley merchandise had brought in $22 million on top of his record sales, and Billboards declaration that he had placed more songs in the top 100 than any other artist since records were first charted. In his first full year at RCA Victor, then the record industry's largest company, Presley had accounted for over 50 percent of the label's singles sales. Leiber and Stoller collaboration and draft notice Presley made his third and final Ed Sullivan Show appearance on January 6, 1957—on this occasion indeed shot only down to the waist. Some commentators have claimed that Parker orchestrated an appearance of censorship to generate publicity. In any event, as critic Greil Marcus describes, Presley "did not tie himself down. Leaving behind the bland clothes he had worn on the first two shows, he stepped out in the outlandish costume of a pasha, if not a harem girl. From the make-up over his eyes, the hair falling in his face, the overwhelmingly sexual cast of his mouth, he was playing Rudolph Valentino in The Sheik, with all stops out." To close, displaying his range and defying Sullivan's wishes, Presley sang a gentle black spiritual, "Peace in the Valley". At the end of the show, Sullivan declared Presley "a real decent, fine boy". Two days later, the Memphis draft board announced that Presley would be classified 1-A and would probably be drafted sometime that year. Each of the three Presley singles released in the first half of 1957 went to number one: "Too Much", "All Shook Up", and "(Let Me Be Your) Teddy Bear". Already an international star, he was attracting fans even where his music was not officially released. Under the headline "Presley Records a Craze in Soviet", The New York Times reported that pressings of his music on discarded X-ray plates were commanding high prices in Leningrad. Between film shoots and recording sessions, 22-year old Presley also found time to purchase an 18-room mansion Graceland on March 19, 1957, for the amount of $102,500. The mansion, which was about south of downtown Memphis, was for himself and his parents. Leading up to the purchase, Elvis recorded Loving You—the soundtrack to his second film, which was released in July. It was Presley's third straight number-one album. The title track was written by Leiber and Stoller, who were then retained to write four of the six songs recorded at the sessions for Jailhouse Rock, Presley's next film. The songwriting team effectively produced the Jailhouse sessions and developed a close working relationship with Presley, who came to regard them as his "good-luck charm". "He was fast," said Leiber. "Any demo you gave him he knew by heart in ten minutes." The title track was yet another number-one hit, as was the Jailhouse Rock EP. Presley undertook three brief tours during the year, continuing to generate a crazed audience response. A Detroit newspaper suggested that "the trouble with going to see Elvis Presley is that you're liable to get killed." Villanova students pelted him with eggs in Philadelphia, and in Vancouver the crowd rioted after the end of the show, destroying the stage. Frank Sinatra, who had inspired both the swooning and screaming of teenage girls in the 1940s, condemned the new musical phenomenon. In a magazine article, he decried rock and roll as "brutal, ugly, degenerate, vicious. ... It fosters almost totally negative and destructive reactions in young people. It smells phoney and false. It is sung, played and written, for the most part, by cretinous goons. ... This rancid-smelling aphrodisiac I deplore." Asked for a response, Presley said, "I admire the man. He has a right to say what he wants to say. He is a great success and a fine actor, but I think he shouldn't have said it. ... This is a trend, just the same as he faced when he started years ago." Leiber and Stoller were again in the studio for the recording of Elvis' Christmas Album. Toward the end of the session, they wrote a song on the spot at Presley's request: "Santa Claus Is Back in Town", an innuendo-laden blues. The holiday release stretched Presley's string of number-one albums to four and would become the best-selling Christmas album ever in the United States, with eventual sales of over 20 million worldwide. After the session, Moore and Black—drawing only modest weekly salaries, sharing in none of Presley's massive financial success—resigned. Though they were brought back on a per diem basis a few weeks later, it was clear that they had not been part of Presley's inner circle for some time. On December 20, Presley received his draft notice. He was granted a deferment to finish the forthcoming King Creole, in which $350,000 had already been invested by Paramount and producer Hal Wallis. A couple of weeks into the new year, "Don't", another Leiber and Stoller tune, became Presley's tenth number-one seller. It had been only 21 months since "Heartbreak Hotel" had brought him to the top for the first time. Recording sessions for the King Creole soundtrack were held in Hollywood in mid-January 1958. Leiber and Stoller provided three songs and were again on hand, but it would be the last time Presley and the duo worked closely together. As Stoller later recalled, Presley's manager and entourage sought to wall him off: "He was removed. ... They kept him separate." A brief soundtrack session on February 11 marked another ending—it was the final occasion on which Black was to perform with Presley. He died in 1965. 1958–1960: Military service and mother's death On March 24, 1958, Presley was drafted into the U.S. Army as a private at Fort Chaffee, near Fort Smith, Arkansas. His arrival was a major media event. Hundreds of people descended on Presley as he stepped from the bus; photographers then accompanied him into the fort. Presley announced that he was looking forward to his military stint, saying that he did not want to be treated any differently from anyone else: "The Army can do anything it wants with me." Presley commenced basic training at Fort Hood, Texas. During a two-week leave in early June, he recorded five songs in Nashville. In early August, his mother was diagnosed with hepatitis, and her condition rapidly worsened. Presley was granted emergency leave to visit her and arrived in Memphis on August 12. Two days later, she died of heart failure at the age of 46. Presley was devastated and never the same; their relationship had remained extremely close—even into his adulthood, they would use baby talk with each other and Presley would address her with pet names. After training, Presley joined the 3rd Armored Division in Friedberg, Germany, on October 1. While on maneuvers, Presley was introduced to amphetamines by a sergeant. He became "practically evangelical about their benefits", not only for energy but for "strength" and weight loss as well, and many of his friends in the outfit joined him in indulging. The Army also introduced Presley to karate, which he studied seriously, training with Jürgen Seydel. It became a lifelong interest, which he later included in his live performances. Fellow soldiers have attested to Presley's wish to be seen as an able, ordinary soldier, despite his fame, and to his generosity. He donated his Army pay to charity, purchased TV sets for the base, and bought an extra set of fatigues for everyone in his outfit. While in Friedberg, Presley met 14-year-old Priscilla Beaulieu. They would eventually marry after a seven-and-a-half-year courtship. In her autobiography, Priscilla said that Presley was concerned that his 24-month spell as a GI would ruin his career. In Special Services, he would have been able to give musical performances and remain in touch with the public, but Parker had convinced him that to gain popular respect, he should serve his country as a regular soldier. Media reports echoed Presley's concerns about his career, but RCA Victor producer Steve Sholes and Freddy Bienstock of Hill and Range had carefully prepared for his two-year hiatus. Armed with a substantial amount of unreleased material, they kept up a regular stream of successful releases. Between his induction and discharge, Presley had ten top 40 hits, including "Wear My Ring Around Your Neck", the bestselling "Hard Headed Woman", and "One Night" in 1958, and "(Now and Then There's) A Fool Such as I" and the number-one "A Big Hunk o' Love" in 1959. RCA Victor also generated four albums compiling previously issued material during this period, most successfully Elvis' Golden Records (1958), which hit number three on the LP chart. 1960–1968: Focus on films Elvis Is Back Presley returned to the United States on March 2, 1960, and was honorably discharged three days later with the rank of sergeant. The train that carried him from New Jersey to Tennessee was mobbed all the way, and Presley was called upon to appear at scheduled stops to please his fans. On the night of March 20, he entered RCA Victor's Nashville studio to cut tracks for a new album along with a single, "Stuck on You", which was rushed into release and swiftly became a number-one hit. Another Nashville session two weeks later yielded a pair of his bestselling singles, the ballads "It's Now or Never" and "Are You Lonesome Tonight?", along with the rest of Elvis Is Back! The album features several songs described by Greil Marcus as full of Chicago blues "menace, driven by Presley's own super-miked acoustic guitar, brilliant playing by Scotty Moore, and demonic sax work from Boots Randolph. Elvis' singing wasn't sexy, it was pornographic." As a whole, the record "conjured up the vision of a performer who could be all things", according to music historian John Robertson: "a flirtatious teenage idol with a heart of gold; a tempestuous, dangerous lover; a gutbucket blues singer; a sophisticated nightclub entertainer; [a] raucous rocker". Released only days after recording was complete, it reached number two on the album chart. Presley returned to television on May 12 as a guest on The Frank Sinatra Timex Special—ironic for both stars, given Sinatra's earlier excoriation of rock and roll. Also known as Welcome Home Elvis, the show had been taped in late March, the only time all year Presley performed in front of an audience. Parker secured an unheard-of $125,000 fee for eight minutes of singing. The broadcast drew an enormous viewership. G.I. Blues, the soundtrack to Presley's first film since his return, was a number-one album in October. His first LP of sacred material, His Hand in Mine, followed two months later. It reached number 13 on the U.S. pop chart and number 3 in the UK, remarkable figures for a gospel album. In February 1961, Presley performed two shows for a benefit event in Memphis, on behalf of 24 local charities. During a luncheon preceding the event, RCA Victor presented him with a plaque certifying worldwide sales of over 75 million records. A 12-hour Nashville session in mid-March yielded nearly all of Presley's next studio album, Something for Everybody. As described by John Robertson, it exemplifies the Nashville sound, the restrained, cosmopolitan style that would define country music in the 1960s. Presaging much of what was to come from Presley himself over the next half-decade, the album is largely "a pleasant, unthreatening pastiche of the music that had once been Elvis' birthright". It would be his sixth number-one LP. Another benefit concert, raising money for a Pearl Harbor memorial, was staged on March 25, in Hawaii. It was to be Presley's last public performance for seven years. Lost in Hollywood Parker had by now pushed Presley into a heavy filmmaking schedule, focused on formulaic, modestly budgeted musical comedies. Presley, at first, insisted on pursuing higher roles, but when two films in a more dramatic vein—Flaming Star (1960) and Wild in the Country (1961)—were less commercially successful, he reverted to the formula. Among the 27 films he made during the 1960s, there were a few further exceptions. His films were almost universally panned; critic Andrew Caine dismissed them as a "pantheon of bad taste". Nonetheless, they were virtually all profitable. Hal Wallis, who produced nine of them, declared, "A Presley picture is the only sure thing in Hollywood." Of Presley's films in the 1960s, 15 were accompanied by soundtrack albums and another 5 by soundtrack EPs. The films' rapid production and release schedules—he frequently starred in three a year—affected his music. According to Jerry Leiber, the soundtrack formula was already evident before Presley left for the Army: "three ballads, one medium-tempo [number], one up-tempo, and one break blues boogie". As the decade wore on, the quality of the soundtrack songs grew "progressively worse". Julie Parrish, who appeared in Paradise, Hawaiian Style (1966), says that he disliked many of the songs chosen for his films. The Jordanaires' Gordon Stoker describes how Presley would retreat from the studio microphone: "The material was so bad that he felt like he couldn't sing it." Most of the film albums featured a song or two from respected writers such as the team of Doc Pomus and Mort Shuman. But by and large, according to biographer Jerry Hopkins, the numbers seemed to be "written on order by men who never really understood Elvis or rock and roll". Regardless of the songs' quality, it has been argued that Presley generally sang them well, with commitment. Critic Dave Marsh heard the opposite: "Presley isn't trying, probably the wisest course in the face of material like 'No Room to Rumba in a Sports Car' and 'Rock-A-Hula Baby'." In the first half of the decade, three of Presley's soundtrack albums were ranked number one on the pop charts, and a few of his most popular songs came from his films, such as "Can't Help Falling in Love" (1961) and "Return to Sender" (1962). ("Viva Las Vegas", the title track to the 1964 film, was a minor hit as a B-side, and became truly popular only later.) But, as with artistic merit, the commercial returns steadily diminished. During a five-year span—1964 through 1968—Presley had only one top-ten hit: "Crying in the Chapel" (1965), a gospel number recorded back in 1960. As for non-film albums, between the June 1962 release of Pot Luck and the November 1968 release of the soundtrack to the television special that signaled his comeback, only one LP of new material by Presley was issued: the gospel album How Great Thou Art (1967). It won him his first Grammy Award, for Best Sacred Performance. As Marsh described, Presley was "arguably the greatest white gospel singer of his time [and] really the last rock & roll artist to make gospel as vital a component of his musical personality as his secular songs". Shortly before Christmas 1966, more than seven years since they first met, Presley proposed to Priscilla Beaulieu. They were married on May 1, 1967, in a brief ceremony in their suite at the Aladdin Hotel in Las Vegas. The flow of formulaic films and assembly-line soundtracks rolled on. It was not until October 1967, when the Clambake soundtrack LP registered record low sales for a new Presley album, that RCA executives recognized a problem. "By then, of course, the damage had been done", as historians Connie Kirchberg and Marc Hendrickx put it. "Elvis was viewed as a joke by serious music lovers and a has-been to all but his most loyal fans." 1968–1973: Comeback Elvis: the '68 Comeback Special Presley's only child, Lisa Marie, was born on February 1, 1968, during a period when he had grown deeply unhappy with his career. Of the eight Presley singles released between January 1967 and May 1968, only two charted in the top 40, and none higher than number 28. His forthcoming soundtrack album, Speedway, would rank at number 82 on the Billboard chart. Parker had already shifted his plans to television, where Presley had not appeared since the Sinatra Timex show in 1960. He maneuvered a deal with NBC that committed the network to both finance a theatrical feature and broadcast a Christmas special. Recorded in late June in Burbank, California, the special, simply called Elvis, aired on December 3, 1968. Later known as the '68 Comeback Special, the show featured lavishly staged studio productions as well as songs performed with a band in front of a small audience—Presley's first live performances since 1961. The live segments saw Presley dressed in tight black leather, singing and playing guitar in an uninhibited style reminiscent of his early rock and roll days. Director and co-producer Steve Binder had worked hard to produce a show that was far from the hour of Christmas songs Parker had originally planned. The show, NBC's highest-rated that season, captured 42 percent of the total viewing audience. Jon Landau of Eye magazine remarked, "There is something magical about watching a man who has lost himself find his way back home. He sang with the kind of power people no longer expect of rock 'n' roll singers. He moved his body with a lack of pretension and effort that must have made Jim Morrison green with envy." Dave Marsh calls the performance one of "emotional grandeur and historical resonance". By January 1969, the single "If I Can Dream", written for the special, reached number 12. The soundtrack album rose into the top ten. According to friend Jerry Schilling, the special reminded Presley of what "he had not been able to do for years, being able to choose the people; being able to choose what songs and not being told what had to be on the soundtrack. ... He was out of prison, man." Binder said of Presley's reaction, "I played Elvis the 60-minute show, and he told me in the screening room, 'Steve, it's the greatest thing I've ever done in my life. I give you my word I will never sing a song I don't believe in. From Elvis in Memphis and the International Buoyed by the experience of the Comeback Special, Presley engaged in a prolific series of recording sessions at American Sound Studio, which led to the acclaimed From Elvis in Memphis. Released in June 1969, it was his first secular, non-soundtrack album from a dedicated period in the studio in eight years. As described by Dave Marsh, it is "a masterpiece in which Presley immediately catches up with pop music trends that had seemed to pass him by during the movie years. He sings country songs, soul songs and rockers with real conviction, a stunning achievement." The album featured the hit single "In the Ghetto", issued in April, which reached number three on the pop chart—Presley's first non-gospel top ten hit since "Bossa Nova Baby" in 1963. Further hit singles were culled from the American Sound sessions: "Suspicious Minds", "Don't Cry Daddy", and "Kentucky Rain". Presley was keen to resume regular live performing. Following the success of the Comeback Special, offers came in from around the world. The London Palladium offered Parker $28,000 for a one-week engagement. He responded, "That's fine for me, now how much can you get for Elvis?" In May, the brand-new International Hotel in Las Vegas, boasting the largest showroom in the city, announced that it had booked Presley. He was scheduled to perform 57 shows over four weeks, beginning July 31. Moore, Fontana, and the Jordanaires declined to participate, afraid of losing the lucrative session work they had in Nashville. Presley assembled new, top-notch accompaniment, led by guitarist James Burton and including two gospel groups, The Imperials and Sweet Inspirations. Costume designer Bill Belew, responsible for the intense leather styling of the Comeback Special, created a new stage look for Presley, inspired by Presley's passion for karate. Nonetheless, he was nervous: his only previous Las Vegas engagement, in 1956, had been dismal. Parker, who intended to make Presley's return the show business event of the year, oversaw a major promotional push. For his part, hotel owner Kirk Kerkorian arranged to send his own plane to New York to fly in rock journalists for the debut performance. Presley took to the stage without introduction. The audience of 2,200, including many celebrities, gave him a standing ovation before he sang a note and another after his performance. A third followed his encore, "Can't Help Falling in Love" (a song that would be his closing number for much of the 1970s). At a press conference after the show, when a journalist referred to him as "The King", Presley gestured toward Fats Domino, who was taking in the scene. "No," Presley said, "that's the real king of rock and roll." The next day, Parker's negotiations with the hotel resulted in a five-year contract for Presley to play each February and August, at an annual salary of $1 million. Newsweek commented, "There are several unbelievable things about Elvis, but the most incredible is his staying power in a world where meteoric careers fade like shooting stars." Rolling Stone called Presley "supernatural, his own resurrection." In November, Presley's final non-concert film, Change of Habit, opened. The double album From Memphis to Vegas/From Vegas to Memphis came out the same month; the first LP consisted of live performances from the International, the second of more cuts from the American Sound sessions. "Suspicious Minds" reached the top of the charts—Presley's first U.S. pop number-one in over seven years, and his last. Cassandra Peterson, later television's Elvira, met Presley during this period in Las Vegas, where she was working as a showgirl. She recalled of their encounter, "He was so anti-drug when I met him. I mentioned to him that I smoked marijuana, and he was just appalled. He said, 'Don't ever do that again. Presley was not only deeply opposed to recreational drugs, he also rarely drank. Several of his family members had been alcoholics, a fate he intended to avoid. Back on tour and meeting Nixon Presley returned to the International early in 1970 for the first of the year's two-month-long engagements, performing two shows a night. Recordings from these shows were issued on the album On Stage. In late February, Presley performed six attendance-record–breaking shows at the Houston Astrodome. In April, the single "The Wonder of You" was issued—a number one hit in the UK, it topped the U.S. adult contemporary chart, as well. Metro-Goldwyn-Mayer filmed rehearsal and concert footage at the International during August for the documentary Elvis: That's the Way It Is. Presley was performing in a jumpsuit, which would become a trademark of his live act. During this engagement, he was threatened with murder unless $50,000 was paid. Presley had been the target of many threats since the 1950s, often without his knowledge. The FBI took the threat seriously and security was stepped up for the next two shows. Presley went onstage with a Derringer in his right boot and a .45 pistol in his waistband, but the concerts succeeded without any incidents. The album, That's the Way It Is, produced to accompany the documentary and featuring both studio and live recordings, marked a stylistic shift. As music historian John Robertson noted, "The authority of Presley's singing helped disguise the fact that the album stepped decisively away from the American-roots inspiration of the Memphis sessions towards a more middle-of-the-road sound. With country put on the back burner, and soul and R&B left in Memphis, what was left was very classy, very clean white pop—perfect for the Las Vegas crowd, but a definite retrograde step for Elvis." After the end of his International engagement on September 7, Presley embarked on a week-long concert tour, largely of the South, his first since 1958. Another week-long tour, of the West Coast, followed in November. On December 21, 1970, Presley engineered a meeting with President Richard Nixon at the White House, where he expressed his patriotism and explained how he believed he could reach out to the hippies to help combat the drug culture he and the president abhorred. He asked Nixon for a Bureau of Narcotics and Dangerous Drugs badge, to add to similar items he had begun collecting and to signify official sanction of his patriotic efforts. Nixon, who apparently found the encounter awkward, expressed a belief that Presley could send a positive message to young people and that it was, therefore, important that he "retain his credibility". Presley told Nixon that The Beatles, whose songs he regularly performed in concert during the era, exemplified what he saw as a trend of anti-Americanism. Presley and his friends previously had a four-hour get-together with The Beatles at his home in Bel Air, California, in August 1965. On hearing reports of the meeting, Paul McCartney later said that he "felt a bit betrayed. ... The great joke was that we were taking [illegal] drugs, and look what happened to him", a reference to Presley's early death, linked to prescription drug abuse. The U.S. Junior Chamber of Commerce named Presley one of its annual Ten Most Outstanding Young Men of the Nation on January 16, 1971. Not long after, the City of Memphis named the stretch of Highway 51 South on which Graceland is located "Elvis Presley Boulevard". The same year, Presley became the first rock and roll singer to be awarded the Lifetime Achievement Award (then known as the Bing Crosby Award) by the National Academy of Recording Arts and Sciences, the Grammy Award organization. Three new, non-film Presley studio albums were released in 1971, as many as had come out over the previous eight years. Best received by critics was Elvis Country, a concept record that focused on genre standards. The biggest seller was Elvis Sings the Wonderful World of Christmas, "the truest statement of all", according to Greil Marcus. "In the midst of ten painfully genteel Christmas songs, every one sung with appalling sincerity and humility, one could find Elvis tom-catting his way through six blazing minutes of 'Merry Christmas Baby,' a raunchy old Charles Brown blues. ... If [Presley's] sin was his lifelessness, it was his sinfulness that brought him to life". Marriage breakdown and Aloha from Hawaii MGM again filmed Presley in April 1972, this time for Elvis on Tour, which went on to win the Golden Globe Award for Best Documentary Film that year. His gospel album He Touched Me, released that month, would earn him his second competitive Grammy Award, for Best Inspirational Performance. A 14-date tour commenced with an unprecedented four consecutive sold-out shows at New York's Madison Square Garden. The evening concert on July 10 was recorded and issued in an LP form a week later. Elvis: As Recorded at Madison Square Garden became one of Presley's biggest-selling albums. After the tour, the single "Burning Love" was released—Presley's last top ten hit on the U.S. pop chart. "The most exciting single Elvis has made since 'All Shook Up'," wrote rock critic Robert Christgau. "Who else could make 'It's coming closer, the flames are now licking my body' sound like an assignation with James Brown's backup band?" Presley and his wife, meanwhile, had become increasingly distant, barely cohabiting. In 1971, an affair he had with Joyce Bova resulted—unbeknownst to him—in her pregnancy and an abortion. He often raised the possibility of her moving into Graceland, saying that he was likely to leave Priscilla. The Presleys separated on February 23, 1972, after Priscilla disclosed her relationship with Mike Stone, a karate instructor Presley had recommended to her. Priscilla related that when she told him, Presley "grabbed ... and forcefully made love to" her, declaring, "This is how a real man makes love to his woman." She later stated in an interview that she regretted her choice of words in describing the incident, and said it had been an overstatement. Five months later, Presley's new girlfriend, Linda Thompson, a songwriter and one-time Memphis beauty queen, moved in with him. Presley and his wife filed for divorce on August 18. According to Joe Moscheo of the Imperials, the failure of Presley's marriage "was a blow from which he never recovered." At a rare press conference that June, a reporter had asked Presley whether he was satisfied with his image. Presley replied, "Well, the image is one thing and the human being another ... it's very hard to live up to an image." In January 1973, Presley performed two benefit concerts for the Kui Lee Cancer Fund in connection with a groundbreaking TV special, Aloha from Hawaii, which would be the first concert by a solo artist to be aired globally. The first show served as a practice run and backup should technical problems affect the live broadcast two days later. On January 14, Aloha from Hawaii aired live via satellite to prime-time audiences in Japan, South Korea, Thailand, the Philippines, Australia, and New Zealand, as well as to U.S. servicemen based across Southeast Asia. In Japan, where it capped a nationwide Elvis Presley Week, it smashed viewing records. The next night, it was simulcast to 28 European countries, and in April an extended version finally aired in the U.S., where it won a 57 percent share of the TV audience. Over time, Parker's claim that it was seen by one billion or more people would be broadly accepted, but that figure appeared to have been sheer invention. Presley's stage costume became the most recognized example of the elaborate concert garb with which his latter-day persona became closely associated. As described by Bobbie Ann Mason, "At the end of the show, when he spreads out his American Eagle cape, with the full stretched wings of the eagle studded on the back, he becomes a god figure." The accompanying double album, released in February, went to number one and eventually sold over 5 million copies in the United States. It proved to be Presley's last U.S. number-one pop album during his lifetime. At a midnight show the same month, four men rushed onto the stage in an apparent attack. Security men came to Presley's defense, and he ejected one invader from the stage himself. Following the show, he became obsessed with the idea that the men had been sent by Mike Stone to kill him. Though they were shown to have been only overexuberant fans, he raged, "There's too much pain in me ... Stone [must] die." His outbursts continued with such intensity that a physician was unable to calm him, despite administering large doses of medication. After another two full days of raging, Red West, his friend and bodyguard, felt compelled to get a price for a contract killing and was relieved when Presley decided, "Aw hell, let's just leave it for now. Maybe it's a bit heavy." 1973–1977: Health deterioration and death Medical crises and last studio sessions Presley's divorce was finalized on October 9, 1973. By then, his health was in major and serious decline. Twice during the year, he overdosed on barbiturates, spending three days in a coma in his hotel suite after the first incident. Towards the end of 1973, he was hospitalized, semi-comatose from the effects of a pethidine addiction. According to his primary care physician, Dr. George C. Nichopoulos, Presley "felt that by getting drugs from a doctor, he wasn't the common everyday junkie getting something off the street". Since his comeback, he had staged more live shows with each passing year, and 1973 saw 168 concerts, his busiest schedule ever. Despite his failing health, in 1974, he undertook another intensive touring schedule. Presley's condition declined precipitously in September. Keyboardist Tony Brown remembered Presley's arrival at a University of Maryland concert: "He fell out of the limousine, to his knees. People jumped to help, and he pushed them away like, 'Don't help me.' He walked on stage and held onto the mic for the first thirty minutes like it was a post. Everybody's looking at each other like, 'Is the tour gonna happen'?" Guitarist John Wilkinson recalled, "He was all gut. He was slurring. He was so fucked up. ... It was obvious he was drugged. It was obvious there was something terribly wrong with his body. It was so bad the words to the songs were barely intelligible. ... I remember crying. He could barely get through the introductions." Wilkinson recounted that a few nights later in Detroit, "I watched him in his dressing room, just draped over a chair, unable to move. So often I thought, 'Boss, why don't you just cancel this tour and take a year off ...?' I mentioned something once in a guarded moment. He patted me on the back and said, 'It'll be all right. Don't you worry about it. Presley continued to play to sellout crowds. Cultural critic Marjorie Garber wrote that he was now widely seen as a garish pop crooner: "In effect, he had become Liberace. Even his fans were now middle-aged matrons and blue-haired grandmothers." On July 13, 1976, Vernon Presley—who had become deeply involved in his son's financial affairs—fired "Memphis Mafia" bodyguards Red West (Presley's friend since the 1950s), Sonny West, and David Hebler, citing the need to "cut back on expenses". Presley was in Palm Springs at the time, and some suggested that he was too cowardly to face the three himself. Another associate of Presley's, John O'Grady, argued that the bodyguards were dropped because their rough treatment of fans had prompted too many lawsuits. However, Presley's stepbrother, David Stanley, claimed that the bodyguards were fired because they were becoming more outspoken about Presley's drug dependency. RCA, which had always enjoyed a steady stream of product from Presley, began to grow anxious as his interest in the recording studio waned. After a session in December 1973 that produced 18 songs, enough for almost two albums, Presley made no official studio recordings in 1974. Parker delivered RCA yet another concert record, Elvis Recorded Live on Stage in Memphis. Recorded on March 20, it included a version of "How Great Thou Art" that would win Presley his third and final competitive Grammy Award. (All three of his competitive Grammy wins—out of 14 total nominations—were for gospel recordings.) Presley returned to the recording studio in Hollywood in March 1975, but Parker's attempts to arrange another session toward the end of the year were unsuccessful. In 1976, RCA sent a mobile recording unit to Graceland that made possible two full-scale recording sessions at Presley's home. Even in that comfortable context, the recording process had become a struggle for him. Despite concerns from RCA and Parker, between July 1973 and October 1976, Presley recorded virtually the entire contents of six albums. Though he was no longer a major presence on the pop charts, five of those albums entered the top five of the country chart, and three went to number one: Promised Land (1975), From Elvis Presley Boulevard, Memphis, Tennessee (1976), and Moody Blue (1977). Similarly, his singles in this era did not prove to be major pop hits, but Presley remained a significant force in the country and adult contemporary markets. Eight studio singles from this period released during his lifetime were top ten hits on one or both charts, four in 1974 alone. "My Boy" was a number-one adult contemporary hit in 1975, and "Moody Blue" topped the country chart and reached the second spot on the adult contemporary chart in 1976. Perhaps his most critically acclaimed recording of the era came that year, with what Greil Marcus described as his "apocalyptic attack" on the soul classic "Hurt". "If he felt the way he sounded", Dave Marsh wrote of Presley's performance, "the wonder isn't that he had only a year left to live but that he managed to survive that long." Final months and death Presley and Linda Thompson split in November 1976, and he took up with a new girlfriend, Ginger Alden. He proposed to Alden and gave her an engagement ring two months later, though several of his friends later claimed that he had no serious intention of marrying again. Journalist Tony Scherman wrote that by early 1977, "Presley had become a grotesque caricature of his sleek, energetic former self. Grossly overweight, his mind dulled by the pharmacopia he daily ingested, he was barely able to pull himself through his abbreviated concerts." In Alexandria, Louisiana, he was on stage for less than an hour, and "was impossible to understand". On March 31, Presley canceled a performance in Baton Rouge, unable to get out of his hotel bed; a total of four shows had to be canceled and rescheduled. Despite the accelerating deterioration of his health, Presley stuck to most touring commitments. According to Guralnick, fans "were becoming increasingly voluble about their disappointment, but it all seemed to go right past Presley, whose world was now confined almost entirely to his room and his spiritualism books." Presley's cousin, Billy Smith, recalled how he would sit in his room and chat for hours, sometimes recounting favorite Monty Python sketches and his own past escapades, but more often gripped by paranoid obsessions that reminded Smith of Howard Hughes. "Way Down", Presley's last single issued during his lifetime, was released on June 6, 1977. That month, CBS taped two concerts for a TV special, Elvis in Concert, to be broadcast in October. In the first, shot in Omaha on June 19, Presley's voice, Guralnick writes, "is almost unrecognizable, a small, childlike instrument in which he talks more than sings most of the songs, casts about uncertainly for the melody in others, and is virtually unable to articulate or project". Two days later, in Rapid City, South Dakota, "he looked healthier, seemed to have lost a little weight, and sounded better, too", though, by the conclusion of the performance, his face was "framed in a helmet of blue-black hair from which sweat sheets down over pale, swollen cheeks". Presley's final concert was held in Indianapolis at Market Square Arena, on June 26, 1977. The book Elvis: What Happened?, co-written by the three bodyguards fired the previous year, was published on August 1. It was the first exposé to detail Presley's years of drug misuse. He was devastated by the book, and tried unsuccessfully to halt its publication by offering money to the publishers. By this point he suffered from glaucoma, hypertension, liver damage, and an enlarged colon, each magnified—and possibly caused—by drug abuse. On the evening of Tuesday, August 16, 1977, Presley was scheduled to fly out of Memphis to begin another tour. That afternoon, Ginger Alden discovered him in an unresponsive state on a bathroom floor. According to her eyewitness account, "Elvis looked as if his entire body had completely frozen in a seated position while using the toilet and then had fallen forward, in that fixed position, directly in front of it. ... It was clear that, from the time whatever hit him to the moment he had landed on the floor, Elvis hadn't moved." Attempts to revive him failed, and he was officially pronounced dead at Baptist Memorial Hospital at 3:30 p.m. He was 42 years old. President Jimmy Carter issued a statement that credited Presley with having "permanently changed the face of American popular culture". Thousands of people gathered outside Graceland to view the open casket. One of Presley's cousins, Billy Mann, accepted $18,000 to secretly photograph the body; the picture appeared on the cover of the National Enquirers biggest-selling issue ever. Alden struck a $105,000 deal with the Enquirer for her story, but settled for less when she broke her exclusivity agreement. Presley left her nothing in his will. Presley's funeral was held at Graceland on Thursday, August 18. Outside the gates, a car plowed into a group of fans, killing two young women and critically injuring a third. About 80,000 people lined the processional route to Forest Hill Cemetery, where Presley was buried next to his mother. Within a few weeks, "Way Down" topped the country and UK singles chart. Following an attempt to steal Presley's body in late August, the remains of both Presley and his mother were exhumed and reburied in Graceland's Meditation Garden on October 2. Cause of death While an autopsy, undertaken the same day Presley died, was still in progress, Memphis medical examiner Jerry Francisco announced that the immediate cause of death was cardiac arrest. Asked if drugs were involved, he declared that "drugs played no role in Presley's death". In fact, "drug use was heavily implicated" in Presley's death, writes Guralnick. The pathologists conducting the autopsy thought it possible, for instance, that he had suffered "anaphylactic shock brought on by the codeine pills he had gotten from his dentist, to which he was known to have had a mild allergy". A pair of lab reports filed two months later strongly suggested that polypharmacy was the primary cause of death; one reported "fourteen drugs in Elvis' system, ten in significant quantity". In 1979, forensic pathologist Cyril Wecht conducted a review of the reports and concluded that a combination of central nervous system depressants had resulted in Presley's accidental death. Forensic historian and pathologist Michael Baden viewed the situation as complicated: "Elvis had had an enlarged heart for a long time. That, together with his drug habit, caused his death. But he was difficult to diagnose; it was a judgment call." The competence and ethics of two of the centrally involved medical professionals were seriously questioned. Francisco had offered a cause of death before the autopsy was complete; claimed the underlying ailment was cardiac arrhythmia, a condition that can be determined only in someone who is still alive; and denied drugs played any part in Presley's death before the toxicology results were known. Allegations of a cover-up were widespread. While a 1981 trial of Presley's main physician, George Nichopoulos, exonerated him of criminal liability for his death, the facts were startling: "In the first eight months of 1977 alone, he had [prescribed] more than 10,000 doses of sedatives, amphetamines, and narcotics: all in Elvis' name." His license was suspended for three months. It was permanently revoked in the 1990s after the Tennessee Medical Board brought new charges of over-prescription. In 1994, the Presley autopsy report was reopened. Joseph Davis, who had conducted thousands of autopsies as Miami-Dade County coroner, declared at its completion, "There is nothing in any of the data that supports a death from drugs. In fact, everything points to a sudden, violent heart attack." More recent research has revealed that Francisco did not speak for the entire pathology team. Other staff "could say nothing with confidence until they got the results back from the laboratories, if then. That would be a matter of weeks." One of the examiners, E. Eric Muirhead, "could not believe his ears. Francisco had not only presumed to speak for the hospital's team of pathologists, he had announced a conclusion that they had not reached. ... Early on, a meticulous dissection of the body ... confirmed [that] Elvis was chronically ill with diabetes, glaucoma, and constipation. As they proceeded, the doctors saw evidence that his body had been wracked over a span of years by a large and constant stream of drugs. They had also studied his hospital records, which included two admissions for drug detoxification and methadone treatments." Writer Frank Coffey thought Elvis's death was due to "a phenomenon called the Valsalva maneuver (essentially straining on the toilet leading to heart stoppage—plausible because Elvis suffered constipation, a common reaction to drug use)". In similar terms, Dan Warlick, who was present at the autopsy, "believes Presley's chronic constipation—the result of years of prescription drug abuse and high-fat, high-cholesterol gorging—brought on what's known as Valsalva's maneuver. Put simply, the strain of attempting to defecate compressed the singer's abdominal aorta, shutting down his heart." However, in 2013, Forest Tennant, who had testified as a defense witness in Nichopoulos' trial, described his own analysis of Presley's available medical records. He concluded that Presley's "drug abuse had led to falls, head trauma, and overdoses that damaged his brain", and that his death was due in part to a toxic reaction to codeine—exacerbated by an undetected liver enzyme defect—which can cause sudden cardiac arrhythmia. DNA analysis in 2014 of a hair sample, purported to be Presley's, found evidence of genetic variants that can lead to glaucoma, migraines, and obesity; a crucial variant associated with the heart muscle disease hypertrophic cardiomyopathy was also identified. Later developments Between 1977 and 1981, six of Presley's posthumously released singles were top-ten country hits. Graceland was opened to the public in 1982. Attracting over half a million visitors annually, it became the second most-visited home in the United States, after the White House. It was declared a National Historic Landmark in 2006. Presley has been inducted into five music halls of fame: the Rock and Roll Hall of Fame (1986), the Country Music Hall of Fame (1998), the Gospel Music Hall of Fame (2001), the Rockabilly Hall of Fame (2007), and the Memphis Music Hall of Fame (2012). In 1984, he received the W. C. Handy Award from the Blues Foundation and the Academy of Country Music's first Golden Hat Award. In 1987, he received the American Music Awards' Award of Merit. A Junkie XL remix of Presley's "A Little Less Conversation" (credited as "Elvis Vs JXL") was used in a Nike advertising campaign during the 2002 FIFA World Cup. It topped the charts in over 20 countries and was included in a compilation of Presley's number-one hits, ELV1S, which was also an international success. The album returned Presley to the Billboard summit for the first time in almost three decades. In 2003, a remix of "Rubberneckin'", a 1969 recording of Presley's, topped the U.S. sales chart, as did a 50th-anniversary re-release of "That's All Right" the following year. The latter was an outright hit in Britain, debuting at number three on the pop chart; it also made the top ten in Canada. In 2005, another three reissued singles, "Jailhouse Rock", "One Night"/"I Got Stung", and "It's Now or Never", went to number one in the United Kingdom. They were part of a campaign that saw the re-release of all 18 of Presley's previous chart-topping UK singles. The first, "All Shook Up", came with a collectors' box that made it ineligible to chart again; each of the other 17 reissues hit the British top five. In 2005, Forbes named Presley the top-earning deceased celebrity for the fifth straight year, with a gross income of $45 million. He was placed second in 2006, returned to the top spot the next two years, and ranked fourth in 2009. The following year, he was ranked second, with his highest annual income ever—$60 million—spurred by the celebration of his 75th birthday and the launch of Cirque du Soleil's Viva Elvis show in Las Vegas. In November 2010, Viva Elvis: The Album was released, setting his voice to newly recorded instrumental tracks. As of mid-2011, there were an estimated 15,000 licensed Presley products, and he was again the second-highest-earning deceased celebrity. Six years later, he ranked fourth with earnings of $35 million, up $8 million from 2016 due in part to the opening of a new entertainment complex, Elvis Presley's Memphis, and hotel, The Guest House at Graceland. In 2018, RCA/Legacy released "Elvis Presley – Where No One Stands Alone", a new album focused on Elvis’s love of gospel music. Produced by Joel Weinshanker, Lisa Marie Presley and Andy Childs, the album introduced newly-recorded instrumentation along with vocals from singers who had performed in the past with Elvis. It also included a reimagined duet with Lisa Marie, on the album’s title track. Artistry Influences Presley's earliest musical influence came from gospel. His mother recalled that from the age of two, at the Assembly of God church in Tupelo attended by the family, "he would slide down off my lap, run into the aisle and scramble up to the platform. There he would stand looking at the choir and trying to sing with them." In Memphis, Presley frequently attended all-night gospel singings at the Ellis Auditorium, where groups such as the Statesmen Quartet led the music in a style that, Guralnick suggests, sowed the seeds of Presley's future stage act: As a teenager, Presley's musical interests were wide-ranging, and he was deeply informed about both white and African-American musical idioms. Though he never had any formal training, he had a remarkable memory, and his musical knowledge was already considerable by the time he made his first professional recordings aged 19 in 1954. When Jerry Leiber and Mike Stoller met him two years later, they were astonished at his encyclopedic understanding of the blues, and, as Stoller put it, "He certainly knew a lot more than we did about country music and gospel music." At a press conference the following year, he proudly declared, "I know practically every religious song that's ever been written." Musicianship Presley played guitar, bass, and piano; he received his first guitar when he was 11 years old. While he couldn't read or write music and had no formal lessons, he was a natural musician and played everything by ear. Presley often played an instrument on his recordings and produced his own music. Presley played rhythm acoustic guitar on most of his Sun recordings and his 1950s RCA albums. He played electric bass guitar on "(You're So Square) Baby I Don't Care" after his bassist Bill Black had trouble with the instrument. Presley played the bass line including the intro. Presley played piano on songs such as "Old Shep" and "First in Line" from his 1956 album Elvis. He is credited with playing piano on later albums such as From Elvis in Memphis and "Moody Blue", and on "Unchained Melody" which was one of the last songs that he recorded. Presley played lead guitar on one of his successful singles called "Are You Lonesome Tonight". In the 68 Comeback Special, Elvis took over on lead electric guitar, the first time he had ever been seen with the instrument in public, playing it on songs such as "Baby What You Want Me to Do" and "One Night". Elvis played the back of his guitar on some of his hits such as "All Shook Up", "Don't Be Cruel", and "(Let Me Be Your) Teddy Bear", providing percussion by slapping the instrument to create a beat. The album Elvis is Back! features Presley playing a lot of acoustic guitar on songs such as "I Will Be Home Again" and "Like a Baby". Musical styles and genres Presley was a central figure in the development of rockabilly, according to music historians. "Rockabilly crystallized into a recognizable style in 1954 with Elvis Presley's first release, on the Sun label", writes Craig Morrison. Paul Friedlander describes the defining elements of rockabilly, which he similarly characterizes as "essentially ... an Elvis Presley construction": "the raw, emotive, and slurred vocal style and emphasis on rhythmic feeling [of] the blues with the string band and strummed rhythm guitar [of] country". In "That's All Right", the Presley trio's first record, Scotty Moore's guitar solo, "a combination of Merle Travis–style country finger-picking, double-stop slides from acoustic boogie, and blues-based bent-note, single-string work, is a microcosm of this fusion." While Katherine Charlton likewise calls Presley "rockabilly's originator", Carl Perkins has explicitly stated that "[Sam] Phillips, Elvis, and I didn't create rockabilly" and, according to Michael Campbell, "Bill Haley recorded the first big rockabilly hit." In Moore's view, too, "It had been there for quite a while, really. Carl Perkins was doing basically the same sort of thing up around Jackson, and I know for a fact Jerry Lee Lewis had been playing that kind of music ever since he was ten years old." At RCA Victor, Presley's rock and roll sound grew distinct from rockabilly with group chorus vocals, more heavily amplified electric guitars and a tougher, more intense manner. While he was known for taking songs from various sources and giving them a rockabilly/rock and roll treatment, he also recorded songs in other genres from early in his career, from the pop standard "Blue Moon" at Sun Records to the country ballad "How's the World Treating You?" on his second RCA Victor LP to the blues of "Santa Claus Is Back in Town". In 1957, his first gospel record was released, the four-song EP Peace in the Valley. Certified as a million-seller, it became the top-selling gospel EP in recording history. Presley would record gospel periodically for the rest of his life. After his return from military service in 1960, Presley continued to perform rock and roll, but the characteristic style was substantially toned down. His first post-Army single, the number-one hit "Stuck on You", is typical of this shift. RCA Victor publicity referred to its "mild rock beat"; discographer Ernst Jorgensen calls it "upbeat pop". The number five "She's Not You" (1962) "integrates the Jordanaires so completely, it's practically doo-wop". The modern blues/R&B sound captured with success on Elvis Is Back! was essentially abandoned for six years until such 1966–67 recordings as "Down in the Alley" and "Hi-Heel Sneakers". Presley's output during most of the 1960s emphasized pop music, often in the form of ballads such as "Are You Lonesome Tonight?", a number-one in 1960. "It's Now or Never", which also topped the chart that year, was a classically influenced variation of pop based on the Neapolitan song "'O sole mio" and concluding with a "full-voiced operatic cadence". These were both dramatic numbers, but most of what Presley recorded for his many film soundtracks was in a much lighter vein. While Presley performed several of his classic ballads for the '68 Comeback Special, the sound of the show was dominated by aggressive rock and roll. He recorded few new straight rock and roll songs thereafter; as he explained, they had become "hard to find". A significant exception was "Burning Love", his last major hit on the pop charts. Like his work of the 1950s, Presley's subsequent recordings reworked pop and country songs, but in markedly different permutations. His stylistic range now began to embrace a more contemporary rock sound as well as soul and funk. Much of Elvis in Memphis, as well as "Suspicious Minds", cut at the same sessions, reflected this new rock and soul fusion. In the mid-1970s, many of his singles found a home on country radio, the field where he first became a star. Vocal style and range The developmental arc of Presley's singing voice, as described by critic Dave Marsh, goes from "high and thrilled in the early days, [to] lower and perplexed in the final months." Marsh credits Presley with the introduction of the "vocal stutter" on 1955's "Baby Let's Play House". When on "Don't Be Cruel", Presley "slides into a 'mmmmm' that marks the transition between the first two verses," he shows "how masterful his relaxed style really is." Marsh describes the vocal performance on "Can't Help Falling in Love" as one of "gentle insistence and delicacy of phrasing", with the line Shall I stay' pronounced as if the words are fragile as crystal". Jorgensen calls the 1966 recording of "How Great Thou Art" "an extraordinary fulfillment of his vocal ambitions", as Presley "crafted for himself an ad-hoc arrangement in which he took every part of the four-part vocal, from [the] bass intro to the soaring heights of the song's operatic climax", becoming "a kind of one-man quartet". Guralnick finds "Stand By Me" from the same gospel sessions "a beautifully articulated, almost nakedly yearning performance," but, by contrast, feels that Presley reaches beyond his powers on "Where No One Stands Alone", resorting "to a kind of inelegant bellowing to push out a sound" that Jake Hess of the Statesmen Quartet had in his command. Hess himself thought that while others might have voices the equal of Presley's, "he had that certain something that everyone searches for all during their lifetime." Guralnick attempts to pinpoint that something: "The warmth of his voice, his controlled use of both vibrato technique and natural falsetto range, the subtlety and deeply felt conviction of his singing were all qualities recognizably belonging to his talent but just as recognizably not to be achieved without sustained dedication and effort." Marsh praises his 1968 reading of "U.S. Male", "bearing down on the hard guy lyrics, not sending them up or overplaying them but tossing them around with that astonishingly tough yet gentle assurance that he brought to his Sun records." The performance on "In the Ghetto" is, according to Jorgensen, "devoid of any of his characteristic vocal tricks or mannerisms", instead relying on the exceptional "clarity and sensitivity of his voice". Guralnick describes the song's delivery as of "almost translucent eloquence ... so quietly confident in its simplicity". On "Suspicious Minds", Guralnick hears essentially the same "remarkable mixture of tenderness and poise", but supplemented with "an expressive quality somewhere between stoicism (at suspected infidelity) and anguish (over impending loss)". Music critic Henry Pleasants observes that "Presley has been described variously as a baritone and a tenor. An extraordinary compass ... and a very wide range of vocal color have something to do with this divergence of opinion." He identifies Presley as a high baritone, calculating his range as two octaves and a third, "from the baritone low G to the tenor high B, with an upward extension in falsetto to at least a D-flat. Presley's best octave is in the middle, D-flat to D-flat, granting an extra full step up or down." In Pleasants' view, his voice was "variable and unpredictable" at the bottom, "often brilliant" at the top, with the capacity for "full-voiced high Gs and As that an opera baritone might envy". Scholar Lindsay Waters, who figures Presley's range as two-and-a-quarter octaves, emphasizes that "his voice had an emotional range from tender whispers to sighs down to shouts, grunts, grumbles, and sheer gruffness that could move the listener from calmness and surrender, to fear. His voice can not be measured in octaves, but in decibels; even that misses the problem of how to measure delicate whispers that are hardly audible at all." Presley was always "able to duplicate the open, hoarse, ecstatic, screaming, shouting, wailing, reckless sound of the black rhythm-and-blues and gospel singers", writes Pleasants, and also demonstrated a remarkable ability to assimilate many other vocal styles. Public image Relationship with the African-American community When Dewey Phillips first aired "That's All Right" on Memphis' WHBQ, many listeners who contacted the station by phone and telegram to ask for it again assumed that its singer was black. From the beginning of his national fame, Presley expressed respect for African-American performers and their music, and disregard for the norms of segregation and racial prejudice then prevalent in the South. Interviewed in 1956, he recalled how in his childhood he would listen to blues musician Arthur Crudup—the originator of "That's All Right"—"bang his box the way I do now, and I said if I ever got to the place where I could feel all old Arthur felt, I'd be a music man like nobody ever saw." The Memphis World, an African-American newspaper, reported that Presley, "the rock 'n' roll phenomenon", "cracked Memphis' segregation laws" by attending the local amusement park on what was designated as its "colored night". Such statements and actions led Presley to be generally hailed in the black community during the early days of his stardom. In contrast, many white adults, according to Billboards Arnold Shaw, "did not like him, and condemned him as depraved. Anti-negro prejudice doubtless figured in adult antagonism. Regardless of whether parents were aware of the Negro sexual origins of the phrase 'rock 'n' roll', Presley impressed them as the visual and aural embodiment of sex." Despite the largely positive view of Presley held by African Americans, a rumor spread in mid-1957 that he had at some point announced, "The only thing Negroes can do for me is buy my records and shine my shoes." A journalist with the national African-American weekly Jet, Louie Robinson, pursued the story. On the set of Jailhouse Rock, Presley granted Robinson an interview, though he was no longer dealing with the mainstream press. He denied making such a statement: "I never said anything like that, and people who know me know that I wouldn't have said it. ... A lot of people seem to think I started this business. But rock 'n' roll was here a long time before I came along. Nobody can sing that kind of music like colored people. Let's face it: I can't sing like Fats Domino can. I know that." Robinson found no evidence that the remark had ever been made, and on the contrary elicited testimony from many individuals indicating that Presley was anything but racist. Blues singer Ivory Joe Hunter, who had heard the rumor before he visited Graceland one evening, reported of Presley, "He showed me every courtesy, and I think he's one of the greatest." Though the rumored remark was discredited, it was still being used against Presley decades later. The identification of Presley with racism—either personally or symbolically—was expressed in the lyrics of the 1989 rap hit "Fight the Power", by Public Enemy: "Elvis was a hero to most / But he never meant shit to me / Straight-up racist that sucker was / Simple and plain/ Motherfuck him and John Wayne". The persistence of such attitudes was fueled by resentment over the fact that Presley, whose musical and visual performance idiom owed much to African-American sources, achieved the cultural acknowledgement and commercial success largely denied his black peers. Into the 21st century, the notion that Presley had "stolen" black music still found adherents. Notable among African-American entertainers expressly rejecting this view was Jackie Wilson, who argued, "A lot of people have accused Elvis of stealing the black man's music, when in fact, almost every black solo entertainer copied his stage mannerisms from Elvis." Moreover, Presley also acknowledged his debt to African-American musicians throughout his career. Addressing his '68 Comeback Special audience, he said, "Rock 'n' roll music is basically gospel or rhythm and blues, or it sprang from that. People have been adding to it, adding instruments to it, experimenting with it, but it all boils down to [that]." Nine years earlier, he had said, "Rock 'n' roll has been around for many years. It used to be called rhythm and blues." Sex symbol Presley's physical attractiveness and sexual appeal were widely acknowledged. "He was once beautiful, astonishingly beautiful", according to critic Mark Feeney. Television director Steve Binder, no fan of Presley's music before he oversaw the '68 Comeback Special, reported, "I'm straight as an arrow and I got to tell you, you stop, whether you're male or female, to look at him. He was that good looking. And if you never knew he was a superstar, it wouldn't make any difference; if he'd walked in the room, you'd know somebody special was in your presence." His performance style, as much as his physical beauty, was responsible for Presley's eroticized image. Writing in 1970, critic George Melly described him as "the master of the sexual simile, treating his guitar as both phallus and girl". In his Presley obituary, Lester Bangs credited him as "the man who brought overt blatant vulgar sexual frenzy to the popular arts in America". Ed Sullivan's declaration that he perceived a soda bottle in Presley's trousers was echoed by rumors involving a similarly positioned toilet roll tube or lead bar. While Presley was marketed as an icon of heterosexuality, some cultural critics have argued that his image was ambiguous. In 1959, Sight and Sounds Peter John Dyer described his onscreen persona as "aggressively bisexual in appeal". Brett Farmer places the "orgasmic gyrations" of the title dance sequence in Jailhouse Rock within a lineage of cinematic musical numbers that offer a "spectacular eroticization, if not homoeroticization, of the male image". In the analysis of Yvonne Tasker, "Elvis was an ambivalent figure who articulated a peculiar feminised, objectifying version of white working-class masculinity as aggressive sexual display." Reinforcing Presley's image as a sex symbol were the reports of his dalliances with various Hollywood stars and starlets, from Natalie Wood in the 1950s to Connie Stevens and Ann-Margret in the 1960s to Candice Bergen and Cybill Shepherd in the 1970s. June Juanico of Memphis, one of Presley's early girlfriends, later blamed Parker for encouraging him to choose his dating partners with publicity in mind. Presley never grew comfortable with the Hollywood scene, and most of these relationships were insubstantial. Equestrian Elvis kept several horses at Graceland, and horses remain important to the Graceland estate. A local former teacher, Alene Alexander, has taken care of the horses at Graceland for 38 years. She and Priscilla Presley have a love for horses and have formed a special friendship. It was because of Priscilla that Elvis brought horses to Graceland. "He got me my first horse as a Christmas present – Domino," said Priscilla Presley. Alexander now serves as Graceland's Ambassador. She is one of three of the original staff members still working at the estate. The horse named Palomino Rising Sun was Elvis' favorite horse, and there are many photographs of him riding him. Associates Colonel Parker and the Aberbachs Once he became Presley's manager, Colonel Tom Parker insisted on exceptionally tight control over his client's career. Early on, he and his Hill and Range allies, the brothers Jean and Julian Aberbach, perceived the close relationship that developed between Presley and songwriters Jerry Leiber and Mike Stoller as a serious threat to that control. Parker effectively ended the relationship, deliberately or not, with the new contract he sent Leiber in early 1958. Leiber thought there was a mistake—the sheet of paper was blank except for Parker's signature and a line on which to enter his. "There's no mistake, boy, just sign it and return it", Parker directed. "Don't worry, we'll fill it in later." Leiber declined, and Presley's fruitful collaboration with the writing team was over. Other respected songwriters lost interest in or simply avoided writing for Presley because of the requirement that they surrender a third of their usual royalties. By 1967, Parker's contracts gave him 50 percent of most of Presley's earnings from recordings, films, and merchandise. Beginning in February 1972, he took a third of the profit from live appearances; a January 1976 agreement entitled him to half of that as well. Priscilla Presley noted that "Elvis detested the business side of his career. He would sign a contract without even reading it." Presley's friend Marty Lacker regarded Parker as a "hustler and a con artist. He was only interested in 'now money'—get the buck and get gone." Lacker was instrumental in convincing Presley to record with Memphis producer Chips Moman and his handpicked musicians at American Sound Studio in early 1969. The American Sound sessions represented a significant departure from the control customarily exerted by Hill and Range. Moman still had to deal with the publisher's staff on-site, whose song suggestions he regarded as unacceptable. He was on the verge of quitting until Presley ordered the Hill and Range personnel out of the studio. Although RCA executive Joan Deary was later full of praise for the producer's song choices and the quality of the recordings, Moman, to his fury, received neither credit on the records nor royalties for his work. Throughout his entire career, Presley performed in only three venues outside the United States—all of them in Canada, during brief tours there in 1957. In 1968, he remarked, "Before too long I'm going to make some personal appearance tours. I'll probably start out here in this country and after that, play some concerts abroad, probably starting in Europe. I want to see some places I've never seen before." Rumors that he would play overseas for the first time were fueled in 1974 by a million-dollar bid for an Australian tour. Parker was uncharacteristically reluctant, prompting those close to Presley to speculate about the manager's past and the reasons for his evident unwillingness to apply for a passport. After Presley's death, it was revealed that Parker was born Andreas Cornelis van Kuijk in the Netherlands; having immigrated illegally to the U.S., he had reason to fear that if he left the country, he would not be allowed back in again. Parker ultimately squelched any notions Presley had of working abroad, claiming that foreign security was poor and the venues unsuitable for a star of his magnitude. Parker arguably exercised tightest control over Presley's film career. Hal Wallis said, "I'd rather try and close a deal with the devil" than with Parker. Fellow film producer Sam Katzman described him as "the biggest con artist in the world". In 1957, Robert Mitchum asked Presley to costar with him in Thunder Road, which Mitchum was producing and writing. According to George Klein, one of his oldest friends, Presley was also offered starring roles in West Side Story and Midnight Cowboy. In 1974, Barbra Streisand approached Presley to star with her in the remake of A Star is Born. In each case, any ambitions Presley may have had to play such parts were thwarted by his manager's negotiating demands or flat refusals. In Lacker's description, "The only thing that kept Elvis going after the early years was a new challenge. But Parker kept running everything into the ground." The prevailing attitude may have been summed up best by the response Leiber and Stoller received when they brought a serious film project for Presley to Parker and the Hill and Range owners for their consideration. In Leiber's telling, Jean Aberbach warned them to never again "try to interfere with the business or artistic workings of the process known as Elvis Presley". Memphis Mafia In the early 1960s, the circle of friends with whom Presley constantly surrounded himself until his death came to be known as the "Memphis Mafia". "Surrounded by the[ir] parasitic presence", as journalist John Harris puts it, "it was no wonder that as he slid into addiction and torpor, no-one raised the alarm: to them, Elvis was the bank, and it had to remain open." Tony Brown, who played piano for Presley regularly in the last two years of Presley's life, observed his rapidly declining health and the urgent need to address it: "But we all knew it was hopeless because Elvis was surrounded by that little circle of people ... all those so-called friends". In the Memphis Mafia's defense, Marty Lacker has said, "[Presley] was his own man. ... If we hadn't been around, he would have been dead a lot earlier." Larry Geller became Presley's hairdresser in 1964. Unlike others in the Memphis Mafia, he was interested in spiritual questions and recalls how, from their first conversation, Presley revealed his secret thoughts and anxieties: "I mean there has to be a purpose ... there's got to be a reason ... why I was chosen to be Elvis Presley. ... I swear to God, no one knows how lonely I get. And how empty I really feel." Thereafter, Geller supplied him with books on religion and mysticism, which Presley read voraciously. Presley would be preoccupied by such matters for much of his life, taking trunkloads of books on tour. Legacy Presley's rise to national attention in 1956 transformed the field of popular music and had a huge effect on the broader scope of popular culture. As the catalyst for the cultural revolution that was rock and roll, he was central not only to defining it as a musical genre but in making it a touchstone of youth culture and rebellious attitude. With its racially mixed origins—repeatedly affirmed by Presley—rock and roll's occupation of a central position in mainstream American culture facilitated a new acceptance and appreciation of black culture. In this regard, Little Richard said of Presley, "He was an integrator. Elvis was a blessing. They wouldn't let black music through. He opened the door for black music." Al Green agreed: "He broke the ice for all of us." President Jimmy Carter remarked on his legacy in 1977: "His music and his personality, fusing the styles of white country and black rhythm and blues, permanently changed the face of American popular culture. His following was immense, and he was a symbol to people the world over of the vitality, rebelliousness, and good humor of his country." Presley also heralded the vastly expanded reach of celebrity in the era of mass communication: at the age of 21, within a year of his first appearance on American network television, he was regarded as one of the most famous people in the world. Presley's name, image, and voice are recognized around the globe. He has inspired a legion of impersonators. In polls and surveys, he is recognized as one of the most important popular music artists and influential Americans. American composer and conductor Leonard Bernstein said, "Elvis Presley is the greatest cultural force in the twentieth century. He introduced the beat to everything and he changed everything—music, language, clothes. It's a whole new social revolution—the sixties came from it." John Lennon said that "Nothing really affected me until Elvis." Bob Dylan described the sensation of first hearing Presley as "like busting out of jail". For much of his adult life, Presley, with his rise from poverty to riches and massive fame, had seemed to epitomize the American Dream. In his final years—and even more so after his death, and the revelations about its circumstances—he became a symbol of excess and gluttony. Increasing attention, for instance, was paid to his appetite for the rich, heavy Southern cooking of his upbringing, foods such as chicken-fried steak and biscuits and gravy. In particular, his love of calorie-laden fried peanut butter, banana, and (sometimes) bacon sandwiches, now known as "Elvis sandwiches", came to stand for this aspect of his persona. But the Elvis sandwich represents more than just unhealthy overindulgence—as media and culture scholar Robert Thompson describes, the unsophisticated treat also signifies Presley's enduring all-American appeal: "He wasn't only the king, he was one of us." Since 1977, there have been numerous alleged sightings of Presley. A long-standing conspiracy theory among some fans is that he faked his death. Adherents cite alleged discrepancies in the death certificate, reports of a wax dummy in his original coffin, and accounts of Presley planning a diversion so he could retire in peace. An unusually large number of fans have domestic shrines devoted to Presley and journey to sites with which he is connected, however faintly. Every August 16, the anniversary of his death, thousands of people gather outside Graceland and celebrate his memory with a candlelight ritual. "With Elvis, it is not just his music that has survived death", writes Ted Harrison. "He himself has been raised, like a medieval saint, to a figure of cultic status. It is as if he has been canonized by acclamation." On the 25th anniversary of Presley's death, The New York Times asserted, "All the talentless impersonators and appalling black velvet paintings on display can make him seem little more than a perverse and distant memory. But before Elvis was camp, he was its opposite: a genuine cultural force. ... Elvis' breakthroughs are underappreciated because in this rock-and-roll age, his hard-rocking music and sultry style have triumphed so completely." Not only Presley's achievements but his failings as well, are seen by some cultural observers as adding to the power of his legacy, as in this description by Greil Marcus: Elvis Presley is a supreme figure in American life, one whose presence, no matter how banal or predictable, brooks no real comparisons. ... The cultural range of his music has expanded to the point where it includes not only the hits of the day, but also patriotic recitals, pure country gospel, and really dirty blues. ... Elvis has emerged as a great artist, a great rocker, a great purveyor of schlock, a great heart throb, a great bore, a great symbol of potency, a great ham, a great nice person, and, yes, a great American. Achievements Presley remains the best-selling solo music artist according to Guinness World Records, with sales estimated up to 500 million. Presley holds the records for most songs charting in Billboards top 40—115—and top 100: 152, according to chart statistician Joel Whitburn, 139 according to Presley historian Adam Victor. Presley's rankings for top ten and number-one hits vary depending on how the double-sided "Hound Dog/Don't Be Cruel" and "Don't/I Beg of You" singles, which precede the inception of Billboards unified Hot 100 chart, are analyzed. According to Whitburn's analysis, Presley holds the record with 38, tying with Madonna; per Billboards current assessment, he ranks second with 36. Whitburn and Billboard concur that the Beatles hold the record for most number-one hits with 20, and that Mariah Carey is second with 18. Whitburn has Presley also with 18, and thus tied for second; Billboard has him third with 17. Presley retains the record for cumulative weeks at number one: alone at 80, according to Whitburn and the Rock and Roll Hall of Fame; tied with Carey at 79, according to Billboard. He holds the records for most British number-one hits with 21, and top ten hits with 76. As an album artist, Presley is credited by Billboard with the record for the most albums charting in the Billboard 200: 129, far ahead of second-place Frank Sinatra's 82. He also holds the record for most time spent at number one on the Billboard 200: 67 weeks. In 2015 and 2016, two albums setting Presley's vocals against music by the Royal Philharmonic Orchestra, If I Can Dream and The Wonder of You, both reached number one in the United Kingdom. This gave him a new record for number-one UK albums by a solo artist with 13, and extended his record for longest span between number-one albums by anybody—Presley had first topped the British chart in 1956 with his self-titled debut. , the Recording Industry Association of America (RIAA) credits Presley with 146.5 million certified album sales in the U.S., third all time behind the Beatles and Garth Brooks. He holds the records for most gold albums (101, nearly twice as many as second-place Barbra Streisand's 51), and most platinum albums (57). His 25 multi-platinum albums is second behind The Beatles' 26. His total of 197 album certification awards (including one diamond award), far outpaces the Beatles' second-best 122. He has the third-most gold singles (54, behind Drake and Taylor Swift), and the eighth-most platinum singles (27). In 2012, the spider Paradonea presleyi was named in his honor. In 2018, President Donald Trump awarded Presley the Presidential Medal of Freedom posthumously. Bands Presley worked with many bands and studio musicians over the course of his career. The following is a list and timeline of the most prominent musicians that worked with Presley during his lifetime. Scotty Moore — lead guitar, rhythm guitar, backing vocals (1954–59, 1960–69; died 2016) Bill Black — double bass, bass guitar, backing vocals (1954–58; died 1965) DJ Fontana — drums, backing vocals (1955–59, 1960–69; died 2018) Gordon Stoker — backing vocals, piano, organ, accordion, percussion (1956–59, 1960–68, 1969–71; died 2013) Neal Matthews, Jr. — backing vocals, guitar, bass guitar, double bass (1956–59, 1960–68, 1969–71; died 2000) Hoyt Hawkins — backing vocals, piano, organ, percussion (1956–59, 1960–68, 1969–71; died 1980) Hugh Jarrett — backing vocals (1956–58; died 2008) Ray Walker — backing vocals (1958–59, 1960–68, 1969–71) Bob Moore — double bass, bass guitar (1958–59, 1960–68; died 2021) Dudley Brooks — piano, celeste (1957–59, 1960–63; died 1989) Tiny Timbrell — rhythm and lead guitars, mandolin (1958–59, 1963–68; died 1992) Hank Garland — lead guitar, bass guitar (1960–61; died 2004) Floyd Cramer — piano, organ (1960, 1963–68; died 1997) Boots Randolph — saxophone, vibraphone, percussion (1960–62, 1964–68; died 2007) Buddy Harman — drums, percussion (1960–63, 1964–68; died 2008) Clifford Scott — saxophone (1962–64; died 1993) Hal Blaine — drums, percussion (1963; died 2019) Charlie Hodge — rhythm guitar, harmony and backing vocals (1967–77; died 2006) Reggie Young – lead guitar (1969; died 2019) Mike Leech – bass guitar (1969) Tommy Cogbill – bass guitar (1969) Bobby Wood – piano (1969) Bobby Emmons – electric piano, organ (1969) Gene Chrisman – drums (1969) James Burton — lead guitar (1969–77) John Wilkinson — rhythm guitar (1969–77; died 2013) Jerry Scheff — bass guitar (1969–73, 1975–77) Ronnie Tutt — drums (1969, 1970–77; died 2021) Larry Muhoberac — piano, electric piano (1969; died 2016) Bob Lanning — drums (1970) Glen D. Hardin — piano (1970–76) Emory Gordy, Jr — bass guitar (1973) Duke Bardwell — bass guitar (1973–75) David Briggs — electric piano, clavinet, piano, organ (1975–77) Tony Brown — piano, organ (1976–77) Bobby Ogdin — electric piano, clavinet, piano (1977) Discography A vast number of recordings have been issued under Presley's name. The total number of his original master recordings has been variously calculated as 665 and 711. His career began and he was most successful during an era when singles were the primary commercial medium for pop music. In the case of his albums, the distinction between "official" studio records and other forms is often blurred. For most of the 1960s, his recording career focused on soundtrack albums. In the 1970s, his most heavily promoted and bestselling LP releases tended to be concert albums. Studio albums Elvis Presley (1956) Elvis (1956) Elvis' Christmas Album (1957) Elvis Is Back! (1960) His Hand in Mine (1960) Something for Everybody (1961) Pot Luck (1962) Elvis for Everyone! (1965) How Great Thou Art (1967) From Elvis in Memphis (1969) From Memphis to Vegas / From Vegas to Memphis (1969) That's the Way It Is (1970) Elvis Country (I'm 10,000 Years Old) (1971) Love Letters from Elvis (1971) Elvis sings The Wonderful World of Christmas (1971) Elvis Now (1972) He Touched Me (1972) Elvis (1973) (The "Fool" Album) Raised on Rock / For Ol' Times Sake (1973) Good Times (1974) Promised Land (1975) Today (1975) From Elvis Presley Boulevard, Memphis, Tennessee (1976) Moody Blue (1977) Soundtrack albums (original material) Loving You (1957) King Creole (1958) G.I. Blues (1960) Blue Hawaii (1961) Girls! Girls! Girls! (1962) It Happened at the World's Fair (1963) Fun in Acapulco (1963) Kissin' Cousins (1964) Roustabout (1964) Girl Happy (1965) Harum Scarum (1965) Frankie and Johnny (1966) Paradise, Hawaiian Style (1966) Spinout (1966) Double Trouble (1967) Clambake (1967) Speedway (1968) Filmography Films starred Love Me Tender (1956) Loving You (1957) Jailhouse Rock (1957) King Creole (1958) G.I. Blues (1960) Flaming Star (1960) Wild in the Country (1961) Blue Hawaii (1961) Follow That Dream (1962) Kid Galahad (1962) Girls! Girls! Girls! (1962) It Happened at the World's Fair (1963) Fun in Acapulco (1963) Kissin' Cousins (1964) Viva Las Vegas (1964) Roustabout (1964) Girl Happy (1965) Tickle Me (1965) Harum Scarum (1965) Frankie and Johnny (1966) Paradise, Hawaiian Style (1966) Spinout (1966) Easy Come, Easy Go (1967) Double Trouble (1967) Clambake (1967) Stay Away, Joe (1968) Speedway (1968) Live a Little, Love a Little (1968) Charro! (1969) The Trouble with Girls (1969) Change of Habit (1969) Elvis: That's the Way It Is (1970) Elvis on Tour (1972) TV concert specials Elvis (1968) Aloha from Hawaii via Satellite (1973) Elvis in Concert (1977) See also Elvis Presley Enterprises Honorific nicknames in popular music List of artists by number of UK Albums Chart number ones List of artists by number of UK Singles Chart number ones List of best-selling music artists Personal relationships of Elvis Presley List of people who died on the toilet Explanatory notes Citations General sources Further reading Allen, Lew (2007). Elvis and the Birth of Rock. Genesis. . Cantor, Louis (2005). Dewey and Elvis: The Life and Times of a Rock 'n' Roll Deejay. University of Illinois Press. . Dickerson, James L. (2001). Colonel Tom Parker: The Curious Life of Elvis Presley's Eccentric Manager. Cooper Square Press. . Goldman, Albert (1981). Elvis. McGraw-Hill. . . Goldman, Albert (1990). Elvis: The Last 24 Hours. St. Martin's. . Klein, George (2010). Elvis: My Best Man: Radio Days, Rock 'n' Roll Nights, and My Lifelong Friendship with Elvis Presley. Virgin Books. Marcus, Greil (1991). Dead Elvis: A Chronicle of a Cultural Obsession. Doubleday. . Marcus, Greil (2000). Double Trouble: Bill Clinton and Elvis Presley in a Land of No Alternative. Picador. . Nash, Alanna (2010). Baby, Let's Play House: Elvis Presley and the Women Who Loved Him. It Books. . Roy, Samuel (1985). Elvis: Prophet of Power. Branden, . West, Red, Sonny West, and Dave Hebler (as told to Steve Dunleavy) (1977). Elvis: What Happened? Bantam Books. . External links Elvis The Music official record label site Elvis Presley Interviews on officially sanctioned Elvis Australia site "The All American Boy: Enter Elvis and the Rock-a-billies" episode of 1968 Pop Chronicles radio series 1935 births 1977 deaths 20th-century American male actors 20th-century American singers 20th-century Christians Accidental deaths in Tennessee American baritones American blues singers American car collectors American country singers American gospel singers American Kenpo practitioners American male film actors American male karateka American male singers American people of Cherokee descent American people of French descent American people of German descent American people of Norman descent American people of Scotch-Irish descent American people who self-identify as being of Native American descent American performers of Christian music American rock singers American rockabilly musicians Blues musicians from Mississippi Blues musicians from Tennessee Burials in Tennessee Christians from Mississippi Christians from Tennessee Country Music Hall of Fame inductees Country musicians from Mississippi Country musicians from Tennessee Grammy Award winners Grammy Lifetime Achievement Award winners Humes High School alumni Identical twins Las Vegas shows Male actors from Las Vegas Male actors from Mississippi Male actors from Tennessee Male Western (genre) film actors Military personnel from Mississippi Military personnel from Tennessee Mississippi Blues Trail Musicians from Las Vegas Musicians from Memphis, Tennessee Obscenity controversies in music Paramount Pictures contract players Pentecostals from Tennessee People from Memphis, Tennessee People from Tupelo, Mississippi Presidential Medal of Freedom recipients RCA Victor artists Rock and roll musicians Singers from Memphis, Tennessee Singers from Mississippi Singers from Tennessee Southern gospel performers Sun Records artists Tank personnel Traditional pop music singers Twin people from the United States United States Army non-commissioned officers
9317
https://en.wikipedia.org/wiki/European%20Union
European Union
The European Union (EU) is a political and economic union of member states that are located primarily in Europe. The union has a total area of and an estimated total population of about 447million. An internal single market has been established through a standardised system of laws that apply in all member states in those matters, and only those matters, where the states have agreed to act as one. EU policies aim to ensure the free movement of people, goods, services and capital within the internal market; enact legislation in justice and home affairs; and maintain common policies on trade, agriculture, fisheries and regional development. Passport controls have been abolished for travel within the Schengen Area, roaming charges also. A monetary union was established in 1999, coming into full force in 2002, and is composed of 19 member states which use the euro currency. The EU has often been described as a sui generis political entity (without precedent or comparison) with the characteristics of either a federation or confederation. The union and EU citizenship were established when the Maastricht Treaty came into force in 1993. The EU traces its origins to the European Coal and Steel Community (ECSC) and the European Economic Community (EEC), established, respectively, by the 1951 Treaty of Paris and 1957 Treaty of Rome. The original member states of what came to be known as the European Communities were the Inner Six: Belgium, France, Italy, Luxembourg, the Netherlands, and West Germany. The communities and their successors have grown in size by the accession of 21 new member states and in power by the addition of policy areas to their remit. The latest major amendment to the constitutional basis of the EU, the Treaty of Lisbon, came into force in 2009. In 2020, the United Kingdom became the only member state to leave the EU. Before this, four territories of member states had left the EU or its forerunners. Containing some 5.8 per cent of the world population in 2020, the EU had generated a nominal gross domestic product (GDP) of around trillion in 2021, constituting approximately 18 per cent of global nominal GDP. Additionally, all EU countries have a very high Human Development Index according to the United Nations Development Programme. In 2012, the EU was awarded the Nobel Peace Prize. Through the Common Foreign and Security Policy, the union has developed a role in external relations and defence. It maintains permanent diplomatic missions throughout the world and represents itself at the United Nations, the World Trade Organization, the G7 and the G20. Due to its global influence, the European Union has been described by some scholars as an emerging superpower. History Background During the centuries that followed the fall of Rome in 476, several European states viewed themselves as translatio imperii ("transfer of rule") of the defunct Roman Empire: the Frankish Empire (481–843) and the Holy Roman Empire (962–1806) were thereby attempts to resurrect Rome in the West. This political philosophy of a supra-national rule over the continent, similar to the example of the ancient Roman Empire, resulted in the early Middle Ages in the concept of a renovatio imperii ("restoration of the empire"), either in the forms of the Reichsidee ("imperial idea") or the religiously inspired Imperium Christianum ("christian empire"). Medieval Christendom and the political power of the Papacy have been cited as conducive to European integration and unity. In the eastern parts of the continent, the Russian Tsardom, and ultimately the Empire (1547–1917), declared Moscow to be Third Rome and inheritor of the Eastern tradition after the fall of Constantinople in 1453. The gap between Greek East and Latin West had already been widened by the political scission of the Roman Empire in the 4th century and the Great Schism of 1054, and would be eventually widened again by the Iron Curtain (1945–1991) before the enlargement of the European Union towards Eastern Europe since 2004 onward. Pan-European political thought truly emerged during the 19th century, inspired by the liberal ideas of the French and American Revolutions after the demise of Napoléon's Empire (1804–1815). In the decades following the outcomes of the Congress of Vienna, ideals of European unity flourished across the continent, especially in the writings of Wojciech Jastrzębowski (1799–1882) or Giuseppe Mazzini (1805–1872). The term United States of Europe () was used at that time by Victor Hugo (1802–1885) during a speech at the International Peace Congress held in Paris in 1849: During the interwar period, the consciousness that national markets in Europe were interdependent though confrontational, along with the observation of a larger and growing US market on the other side of the ocean, nourished the urge for the economic integration of the continent. In 1920, advocating the creation of a European economic union, the British economist John Maynard Keynes wrote that "a Free Trade Union should be established ... to impose no protectionist tariffs whatever against the produce of other members of the Union." During the same decade, Richard von Coudenhove-Kalergi, one of the first to imagine a modern political union of Europe, founded the Pan-Europa Movement. His ideas influenced his contemporaries, among whom was then-Prime Minister of France Aristide Briand. In 1929, the latter gave a speech in favour of a European Union before the assembly of the League of Nations, the precursor of the United Nations. In a radio address in March 1943, with war still raging, Britain's leader Sir Winston Churchill spoke warmly of "restoring the true greatness of Europe" once victory had been achieved, and mused on the post-war creation of a "Council of Europe" which would bring the European nations together to build peace. Preliminary (19451957) After World War II, European integration was seen as an antidote to the extreme nationalism which had devastated parts of the continent. In a speech delivered on 19 September 1946 at the University of Zürich, Switzerland, Winston Churchill went further and advocated the emergence of a United States of Europe. The 1948 Hague Congress was a pivotal moment in European federal history, as it led to the creation of the European Movement International and of the College of Europe, where Europe's future leaders would live and study together. It also led directly to the founding of the Council of Europe in 1949, the first great effort to bring the nations of Europe together, initially ten of them. The council focused primarily on values—human rights and democracy—rather than on economic or trade issues, and was always envisaged as a forum where sovereign governments could choose to work together, with no supra-national authority. It raised great hopes of further European integration, and there were fevered debates in the two years that followed as to how this could be achieved. But in 1952, disappointed at what they saw as the lack of progress within the Council of Europe, six nations decided to go further and created the European Coal and Steel Community, which was declared to be "a first step in the federation of Europe". This community helped to economically integrate and coordinate the large number of Marshall Plan funds from the United States. European leaders Alcide De Gasperi from Italy, Jean Monnet and Robert Schuman from France, and Paul-Henri Spaak from Belgium understood that coal and steel were the two industries essential for waging war, and believed that by tying their national industries together, future war between their nations became much less likely. These men and others are officially credited as the founding fathers of the European Union. Treaty of Rome (19571992) In 1957, Belgium, France, Italy, Luxembourg, the Netherlands, and West Germany signed the Treaty of Rome, which created the European Economic Community (EEC) and established a customs union. They also signed another pact creating the European Atomic Energy Community (Euratom) for co-operation in developing nuclear energy. Both treaties came into force in 1958. The EEC and Euratom were created separately from the ECSC and they shared the same courts and the Common Assembly. The EEC was headed by Walter Hallstein (Hallstein Commission) and Euratom was headed by Louis Armand (Armand Commission) and then Étienne Hirsch. Euratom was to integrate sectors in nuclear energy while the EEC would develop a customs union among members. During the 1960s, tensions began to show, with France seeking to limit supranational power. Nevertheless, in 1965 an agreement was reached and on 1 July 1967 the Merger Treaty created a single set of institutions for the three communities, which were collectively referred to as the European Communities. Jean Rey presided over the first merged commission (Rey Commission). In 1973, the communities were enlarged to include Denmark (including Greenland, which later left the Communities in 1985, following a dispute over fishing rights), Ireland, and the United Kingdom. Norway had negotiated to join at the same time, but Norwegian voters rejected membership in a referendum. In 1979, the first direct elections to the European Parliament were held. Greece joined in 1981, Portugal and Spain following in 1986. In 1985, the Schengen Agreement paved the way for the creation of open borders without passport controls between most member states and some non-member states. In 1986, the European flag began to be used by the EEC and the Single European Act was signed. In 1990, after the fall of the Eastern Bloc, the former East Germany became part of the communities as part of a reunified Germany. Maastricht Treaty (19922007) The European Union was formally established when the Maastricht Treaty—whose main architects were Helmut Kohl and François Mitterrand—came into force on 1 November 1993. The treaty also gave the name European Community to the EEC, even if it was referred to as such before the treaty. With further enlargement planned to include the former communist states of Central and Eastern Europe, as well as Cyprus and Malta, the Copenhagen criteria for candidate members to join the EU were agreed upon in June 1993. The expansion of the EU introduced a new level of complexity and discord. In 1995, Austria, Finland, and Sweden joined the EU. In 2002, euro banknotes and coins replaced national currencies in 12 of the member states. Since then, the eurozone has increased to encompass 19 countries. The euro currency became the second-largest reserve currency in the world. In 2004, the EU saw its biggest enlargement to date when Cyprus, the Czech Republic, Estonia, Hungary, Latvia, Lithuania, Malta, Poland, Slovakia, and Slovenia joined the union. Lisbon Treaty (2007present) In 2007, Bulgaria and Romania became EU members. Later that year, Slovenia adopted the euro, followed by Cyprus and Malta in 2008, Slovakia in 2009, Estonia in 2011, Latvia in 2014, and Lithuania in 2015. On 1 December 2009, the Lisbon Treaty entered into force and reformed many aspects of the EU. In particular, it changed the legal structure of the European Union, merging the EU three pillars system into a single legal entity provisioned with a legal personality, created a permanent president of the European Council, the first of which was Herman Van Rompuy, and strengthened the position of the high representative of the union for foreign affairs and security policy. In 2012, the EU received the Nobel Peace Prize for having "contributed to the advancement of peace and reconciliation, democracy, and human rights in Europe." In 2013, Croatia became the 28th EU member. From the beginning of the 2010s, the cohesion of the European Union has been tested by several issues, including a debt crisis in some of the Eurozone countries, increasing migration from Africa and Asia, and the United Kingdom's withdrawal from the EU. A referendum in the UK on its membership of the European Union was held in 2016, with 51.9 per cent of participants voting to leave. The UK formally notified the European Council of its decision to leave on 29 March 2017, initiating the formal withdrawal procedure for leaving the EU; following extensions to the process, the UK left the European Union on 31 January 2020, though most areas of EU law continued to apply to the UK for a transition period which lasted until 23:00 GMT on 31 December 2020. On 28 February 2022, Ukraine applied to join the European Union in response to the Russian invasion of the country. Ukrainian president Volodymr Zelenskyy requested that Ukraine be admitted into the Union immediately. Demographics Population , the population of the European Union was about 447 million people (5.8 per cent of the world population). In 2015, 5.1million children were born in the EU-28 corresponding to a birth rate of 10 per 1,000, which is 8 births below the world average. For comparison, the EU-28 birth rate had stood at 10.6 in 2000, 12.8 in 1985 and 16.3 in 1970. Its population growth rate was positive at an estimated 0.23 per cent in 2016. In 2010, 47.3million people who lived in the EU were born outside their resident country. This corresponds to 9.4 per cent of the total EU population. Of these, 31.4million (6.3 per cent) were born outside the EU and 16.0million (3.2 per cent) were born in another EU member state. The largest absolute numbers of people born outside the EU were in Germany (6.4million), France (5.1million), the United Kingdom (4.7million), Spain (4.1million), Italy (3.2million), and the Netherlands (1.4million). In 2017, approximately 825,000 people acquired citizenship of a member state of the European Union. The largest groups were nationals of Morocco, Albania, India, Turkey and Pakistan. 2.4million immigrants from non-EU countries entered the EU in 2017. Urbanisation The EU contains about 40 urban areas with populations of over 1million. With a population of over 13 million, Paris is the largest metropolitan area and the only megacity in the EU. Paris is followed by Madrid, Barcelona, Berlin, the Ruhr, Milan, and Rome, all with a metropolitan population of over 4million. The EU also has numerous polycentric urbanised regions like Rhine-Ruhr (Cologne, Dortmund, Düsseldorf et al.), Randstad (Amsterdam, Rotterdam, The Hague, Utrecht et al.), Frankfurt Rhine-Main (Frankfurt, Wiesbaden, Mainz et al.), the Flemish Diamond (Antwerp, Brussels, Leuven, Ghent et al.) and Upper Silesian area (Katowice, Ostrava et al.). Languages The European Union has 24 official languages: Bulgarian, Croatian, Czech, Danish, Dutch, English, Estonian, Finnish, French, German, Greek, Hungarian, Italian, Irish, Latvian, Lithuanian, Maltese, Polish, Portuguese, Romanian, Slovak, Slovene, Spanish, and Swedish. Important documents, such as legislation, are translated into every official language and the European Parliament provides translation for documents and plenary sessions. Due to the high number of official languages, most of the institutions use only a handful of working languages. The European Commission conducts its internal business in three procedural languages: English, French, and German Similarly, the Court of Justice of the European Union uses French as the working language, while the European Central Bank conducts its business primarily in English. Even though language policy is the responsibility of member states, EU institutions promote multilingualism among its citizens. In 2012, English was the most widely spoken language in the EU, being understood by 51 per cent of the EU population when counting both native and non-native speakers. However, following the UK's exit from the bloc in early 2020, the percentage of the EU population who spoke English as their native language fell from 13 per cent to 1 per cent. German is the most widely spoken mother tongue (18 per cent of the EU population), and the second most widely understood foreign language, followed by French (13 per cent of the EU population). In addition, both are official languages of several EU member states. More than half (56 per cent) of EU citizens are able to engage in a conversation in a language other than their mother tongue. A total of twenty official languages of the EU belong to the Indo-European language family, represented by the Balto-Slavic, the Italic, the Germanic, the Hellenic, and the Celtic branches. Only four languages, namely Hungarian, Finnish, Estonian (all three Uralic), and Maltese (Semitic), are not Indo-European languages. The three official alphabets of the European Union (Cyrillic, Latin, and modern Greek) all derive from the Archaic Greek scripts. Luxembourgish (in Luxembourg) and Turkish (in Cyprus) are the only two national languages that are not official languages of the EU. On 26 February 2016, it was made public that Cyprus has asked to make Turkish an official EU language, in a "gesture" that could help solve the division of the country. Already in 2004, it was planned that Turkish would become an official language when Cyprus reunites. Besides the 24 official languages, there are about 150 regional and minority languages, spoken by up to 50 million people. Catalan, Galician and Basque are not recognised official languages of the European Union but have official status in one member state (Spain): therefore, official translations of the treaties are made into them and citizens have the right to correspond with the institutions in these languages. The European Charter for Regional or Minority Languages ratified by most EU states provides general guidelines that states can follow to protect their linguistic heritage. The European Day of Languages is held annually on 26 September and is aimed at encouraging language learning across Europe. Religion The EU has no formal connection to any religion. Article 17 of the Treaty on the Functioning of the European Union recognises the "status under national law of churches and religious associations" as well as that of "philosophical and non-confessional organisations". The preamble to the Treaty on European Union mentions the "cultural, religious and humanist inheritance of Europe". Discussion over the draft texts of the European Constitution and later the Treaty of Lisbon included proposals to mention Christianity or a god, or both, in the preamble of the text, but the idea faced opposition and was dropped. Christians in the European Union are divided among members of Catholicism (both Roman and Eastern Rite), numerous Protestant denominations (Anglicans, Lutherans, and Reformed forming the bulk of this category), and the Eastern Orthodox Church. In 2009, the EU had an estimated Muslim population of 13 million, and an estimated Jewish population of over a million. The other world religions of Buddhism, Hinduism, and Sikhism are also represented in the EU population. According to new polls about religiosity in the European Union in 2015 by Eurobarometer, Christianity is the largest religion in the European Union, accounting for 71.6 per cent of the EU population. Catholics are the largest Christian group, accounting for 45.3 per cent of the EU population, while Protestants make up 11.1 per cent, Eastern Orthodox make up 9.6 per cent, and other Christians make up 5.6 per cent. Eurostat's Eurobarometer opinion polls showed in 2005 that 52 per cent of EU citizens believed in a god, 27 per cent in "some sort of spirit or life force", and 18 per cent had no form of belief. Many countries have experienced falling church attendance and membership in recent years. The countries where the fewest people reported a religious belief were Estonia (16 per cent) and the Czech Republic (19 per cent). The most religious countries were Malta (95 per cent, predominantly Catholic) as well as Cyprus and Romania (both predominantly Orthodox) each with about 90 per cent of citizens professing a belief in their respective god. Across the EU, belief was higher among women, older people, those with religious upbringing, those who left school at 15 or 16, and those "positioning themselves on the right of the political scale". Member states Through successive enlargements, the European Union has grown from the six founding states (Belgium, France, West Germany, Italy, Luxembourg, and the Netherlands) to members. Countries accede to the union by becoming party to the founding treaties, thereby subjecting themselves to the privileges and obligations of EU membership. This entails a partial delegation of sovereignty to the institutions in return for representation within those institutions, a practice often referred to as "pooling of sovereignty". To become a member, a country must meet the Copenhagen criteria, defined at the 1993 meeting of the European Council in Copenhagen. These require a stable democracy that respects human rights and the rule of law; a functioning market economy; and the acceptance of the obligations of membership, including EU law. Evaluation of a country's fulfilment of the criteria is the responsibility of the European Council. Article 50 of the Lisbon Treaty provides the basis for a member to leave the EU. Two territories have left the union: Greenland (an autonomous province of Denmark) withdrew in 1985; the United Kingdom formally invoked Article 50 of the Consolidated Treaty on European Union in 2017, and became the only sovereign state to leave when it withdrew from the EU in 2020. There are six countries that are recognised as candidates for membership: Albania, Iceland, North Macedonia, Montenegro, Serbia, and Turkey, though Iceland suspended negotiations in 2013. Bosnia and Herzegovina and Kosovo are officially recognised as potential candidates, with Bosnia and Herzegovina having submitted a membership application. During the 2022 Russian invasion of Ukraine, Ukraine formally applied for EU membership as well. Georgia is preparing to apply for membership in 2024 in order to join the European Union in the 2030s. The four countries forming the European Free Trade Association (EFTA) are not EU members, but have partly committed to the EU's economy and regulations: Iceland, Liechtenstein and Norway, which are a part of the single market through the European Economic Area, and Switzerland, which has similar ties through bilateral treaties. The relationships of the European microstates, Andorra, Monaco, San Marino, and Vatican City include the use of the euro and other areas of co-operation. Geography The European Union's member states cover an area of . The EU's highest peak is Mont Blanc in the Graian Alps, above sea level. The lowest points in the EU are Lammefjorden, Denmark, and Zuidplaspolder, Netherlands, at below sea level. The landscape, climate, and economy of the EU are influenced by its coastline, which is long. Including the overseas territories of France which are located outside the continent of Europe, but which are members of the union, the EU experiences most types of climate from Arctic (north-east Europe) to tropical (French Guiana), rendering meteorological averages for the EU as a whole meaningless. The majority of the population lives in areas with a temperate maritime climate (North-Western Europe and Central Europe), a Mediterranean climate (Southern Europe), or a warm summer continental or hemiboreal climate (Northern Balkans and Central Europe). The EU's population is highly urbanised: some 75 per cent of inhabitants lived in urban areas in 2006. Cities are largely spread out across the EU with a large grouping in and around the Benelux. Several overseas territories and dependencies of various member states are also formally part of the EU. Politics The European Union operates through a hybrid system of supranational and intergovernmental decision-making, and according to the principles of conferral (which says that it should act only within the limits of the competences conferred on it by the treaties) and of subsidiarity (which says that it should act only where an objective cannot be sufficiently achieved by the member states acting alone). Laws made by the EU institutions are passed in a variety of forms. Generally speaking, they can be classified into two groups: those which come into force without the necessity for national implementation measures (regulations) and those which specifically require national implementation measures (directives). Constitutionally, the EU bears some resemblance to both a confederation and a federation, but has not formally defined itself as either. (It does not have a formal constitution: its status is defined by the Treaty of European Union and the Treaty on the Functioning of the European Union). It is more integrated than a traditional confederation of states because the general level of government widely employs qualified majority voting in some decision-making among the member states, rather than relying exclusively on unanimity. It is less integrated than a federal state because it is not a state in its own right: sovereignty continues to flow 'from the bottom up', from the several peoples of the separate member states, rather than from a single undifferentiated whole. This is reflected in the fact that the member states remain the 'masters of the Treaties', retaining control over the allocation of competences to the union through constitutional change (thus retaining so-called Kompetenz-kompetenz); in that they retain control of the use of armed force; they retain control of taxation; and in that they retain a right of unilateral withdrawal under Article 50 of the Treaty on European Union. In addition, the principle of subsidiarity requires that only those matters that need to be determined collectively are so determined. The European Union has seven principal decision-making bodies, its institutions: the European Parliament, the European Council, the Council of the European Union, the European Commission, the Court of Justice of the European Union, the European Central Bank and the European Court of Auditors. Competence in scrutinising and amending legislation is shared between the Council of the European Union and the European Parliament, while executive tasks are performed by the European Commission and in a limited capacity by the European Council (not to be confused with the aforementioned Council of the European Union). The monetary policy of the eurozone is determined by the European Central Bank. The interpretation and the application of EU law and the treaties are ensured by the Court of Justice of the European Union. The EU budget is scrutinised by the European Court of Auditors. There are also a number of ancillary bodies which advise the EU or operate in a specific area. EU policy is in general promulgated by EU directives, which are then implemented in the domestic legislation of its member states, and EU regulations, which are immediately enforceable in all member states. Lobbying at EU level by special interest groups is regulated to try to balance the aspirations of private initiatives with public interest decision-making process. Institutions European Council The European Council gives political direction to the EU. It convenes at least four times a year and comprises the president of the European Council (presently Charles Michel), the president of the European Commission and one representative per member state (either its head of state or head of government). The high representative of the union for foreign affairs and security policy (presently Josep Borrell) also takes part in its meetings. It has been described by some as the union's "supreme political authority". It is actively involved in the negotiation of treaty changes and defines the EU's policy agenda and strategies. The European Council uses its leadership role to sort out disputes between member states and the institutions, and to resolve political crises and disagreements over controversial issues and policies. It acts externally as a "collective head of state" and ratifies important documents (for example, international agreements and treaties). Tasks for the president of the European Council are ensuring the external representation of the EU, driving consensus and resolving divergences among member states, both during meetings of the European Council and over the periods between them. The European Council should not be mistaken for the Council of Europe, an international organisation independent of the EU and based in Strasbourg. European Commission The European Commission acts both as the EU's executive arm, responsible for the day-to-day running of the EU, and also the legislative initiator, with the sole power to propose laws for debate. The commission is 'guardian of the Treaties' and is responsible for their efficient operation and policing. It operates de facto as a cabinet government, with 27 European commissioners for different areas of policy, one from each member state, though commissioners are bound to represent the interests of the EU as a whole rather than their home state. One of the 27 is the president of the European Commission (presently Ursula von der Leyen for 20192024), appointed by the European Council, subject to the Parliament's approval. After the President, the most prominent commissioner is the high representative of the union for foreign affairs and security policy, who is ex-officio a vice-president of the European Commission and is also chosen by the European Council. The other 26 commissioners are subsequently appointed by the Council of the European Union in agreement with the nominated president. The 27 commissioners as a single body are subject to approval (or otherwise) by vote of the European Parliament. Council of the European Union The Council of the European Union (also called the Council and the "Council of Ministers", its former title) forms one half of the EU's legislature. It consists of a representative from each member state's government and meets in different compositions depending on the policy area being addressed. Notwithstanding its different configurations, it is considered to be one single body. In addition to the legislative functions, members of the council also have executive responsibilities, such as the development of a Common Foreign and Security Policy and the coordination of broad economic policies within the Union. The Presidency of the council rotates between member states, with each holding it for six months. Beginning on 1 July 2021, the position is held by Slovenia. In some policies, there are several member states that ally with strategic partners within the union. Examples of such alliances include the Visegrad Group, Benelux, the Baltic Assembly, the New Hanseatic League, the Weimar Triangle, the Lublin Triangle, EU Med Group, the Craiova Group and Bucharest Nine. European Parliament The European Parliament is one of three legislative institutions of the EU, which together with the Council of the European Union is tasked with amending and approving the European Commission's proposals. 705 members of the European Parliament (MEPs) are directly elected by EU citizens every five years on the basis of proportional representation. MEPs are elected on a national basis and they sit according to political groups rather than their nationality. Each country has a set number of seats and is divided into sub-national constituencies where this does not affect the proportional nature of the voting system. In the ordinary legislative procedure, the European Commission proposes legislation, which requires the joint approval of the European Parliament and the Council of the European Union to pass. This process applies to nearly all areas, including the EU budget. The parliament is the final body to approve or reject the proposed membership of the commission, and can attempt motions of censure on the commission by appeal to the Court of Justice. The president of the European Parliament carries out the role of speaker in Parliament and represents it externally. The president and vice-presidents are elected by MEPs every two and a half years. Budget The European Union had an agreed budget of  billion for the year 2007 and  billion for the period 2007–2013, representing 1.10 per cent and 1.05 per cent of the EU-27's GNI forecast for the respective periods. In 1960, the budget of the then European Economic Community was 0.03 per cent of GDP. In the 2010 budget of  billion, the largest single expenditure item was "cohesion & competitiveness" with around 45 per cent of the total budget. Next was "agriculture" with approximately 31 per cent of the total. "Rural development, environment and fisheries" takes up around 11 per cent. "Administration" accounts for around 6 per cent. The "EU as a global partner" and "citizenship, freedom, security and justice" had approximately 6 per cent and 1 per cent respectively. The Court of Auditors is legally obliged to provide the parliament and the council (specifically, the Economic and Financial Affairs Council) with "a statement of assurance as to the reliability of the accounts and the legality and regularity of the underlying transactions". The Court also gives opinions and proposals on financial legislation and anti-fraud actions. The parliament uses this to decide whether to approve the commission's handling of the budget. The European Court of Auditors has signed off the European Union accounts every year since 2007 and, while making it clear that the European Commission has more work to do, has highlighted that most of the errors take place at national level. In their report on 2009 the auditors found that five areas of Union expenditure, agriculture and the cohesion fund, were materially affected by error. The European Commission estimated in 2009 that the financial effect of irregularities was  million. In November 2020, members of the union, Hungary and Poland, blocked approval to the EU's budget at a meeting in the Committee of Permanent Representatives (Coreper), citing a proposal that linked funding with adherence to the rule of law. The budget included a COVID-19 recovery fund of billion. The budget may still be approved if Hungary and Poland withdraw their vetoes after further negotiations in the council and the European Council. Competences Member states retain all powers not explicitly handed to the European Union. In some areas the EU enjoys exclusive competence. These are areas in which member states have renounced any capacity to enact legislation. In other areas the EU and its member states share the competence to legislate. While both can legislate, member states can only legislate to the extent to which the EU has not. In other policy areas the EU can only co-ordinate, support and supplement member state action but cannot enact legislation with the aim of harmonising national laws. That a particular policy area falls into a certain category of competence is not necessarily indicative of what legislative procedure is used for enacting legislation within that policy area. Different legislative procedures are used within the same category of competence, and even with the same policy area. The distribution of competences in various policy areas between member states and the union is divided in the following three categories: Legal system and justice The European Union is based on a series of treaties. These first established the European Community and the EU, and then made amendments to those founding treaties. These are power-giving treaties which set broad policy goals and establish institutions with the necessary legal powers to implement those goals. These legal powers include the ability to enact legislation which can directly affect all member states and their inhabitants. The EU has legal personality, with the right to sign agreements and international treaties. Under the principle of supremacy, national courts are required to enforce the treaties that their member states have ratified, and thus the laws enacted under them, even if doing so requires them to ignore conflicting national law, and (within limits) even constitutional provisions. The direct effect and supremacy doctrines were not explicitly set out in the European Treaties but were developed by the Court of Justice itself over the 1960s, apparently under the influence of its then most influential judge, Frenchman Robert Lecourt Court of Justice of the European Union The judicial branch of the European Union is formally called the Court of Justice of the European Union and consists of two courts: the Court of Justice and the General Court. The Court of Justice primarily deals with cases taken by member states, the institutions, and cases referred to it by the courts of member states. Because of the doctrines of direct effect and supremacy, many judgments of the Court of Justice are automatically applicable within the internal legal orders of the member states. The General Court mainly deals with cases taken by individuals and companies directly before the EU's courts, and the European Union Civil Service Tribunal adjudicates in disputes between the European Union and its civil service. Decisions from the General Court can be appealed to the Court of Justice but only on a point of law. Fundamental rights The treaties declare that the European Union itself is "founded on the values of respect for human dignity, freedom, democracy, equality, the rule of law and respect for human rights, including the rights of persons belonging to minorities ... in a society in which pluralism, non-discrimination, tolerance, justice, solidarity and equality between women and men prevail." In 2009, the Lisbon Treaty gave legal effect to the Charter of Fundamental Rights of the European Union. The charter is a codified catalogue of fundamental rights against which the EU's legal acts can be judged. It consolidates many rights which were previously recognised by the Court of Justice and derived from the "constitutional traditions common to the member states." The Court of Justice has long recognised fundamental rights and has, on occasion, invalidated EU legislation based on its failure to adhere to those fundamental rights. Signing the European Convention on Human Rights (ECHR) is a condition for EU membership. Previously, the EU itself could not accede to the convention as it is neither a state nor had the competence to accede. The Lisbon Treaty and Protocol 14 to the ECHR have changed this: the former binds the EU to accede to the convention while the latter formally permits it. The EU is independent from the Council of Europe, although they share purpose and ideas, especially on the rule of law, human rights and democracy. Furthermore, the European Convention on Human Rights and European Social Charter, as well as the source of law for the Charter of Fundamental Rights are created by the Council of Europe. The EU has also promoted human rights issues in the wider world. The EU opposes the death penalty and has proposed its worldwide abolition. Abolition of the death penalty is a condition for EU membership. On 19 October 2020, the European Union revealed new plans to create a legal structure to act against human rights violations worldwide. The new plan was expected to provide the European Union with greater flexibility to target and sanction those responsible for serious human rights violations and abuses around the world. Acts The main legal acts of the European Union come in three forms: regulations, directives, and decisions. Regulations become law in all member states the moment they come into force, without the requirement for any implementing measures, and automatically override conflicting domestic provisions. Directives require member states to achieve a certain result while leaving them discretion as to how to achieve the result. The details of how they are to be implemented are left to member states. When the time limit for implementing directives passes, they may, under certain conditions, have direct effect in national law against member states. Decisions offer an alternative to the two above modes of legislation. They are legal acts which only apply to specified individuals, companies or a particular member state. They are most often used in competition law, or on rulings on State Aid, but are also frequently used for procedural or administrative matters within the institutions. Regulations, directives, and decisions are of equal legal value and apply without any formal hierarchy. European Ombudsman The European Ombudsman was established by the Maastricht Treaty. The ombudsman is elected by the European Parliament for the length of the parliament's term, and the position is renewable. Any EU citizen or entity may appeal to the ombudsman to investigate an EU institution on the grounds of maladministration (administrative irregularities, unfairness, discrimination, abuse of power, failure to reply, refusal of information or unnecessary delay). Emily O'Reilly has been the ombudsman since 2013. Home affairs and migration Since the creation of the European Union in 1993, it has developed its competencies in the area of justice and home affairs; initially at an intergovernmental level and later by supranationalism. Accordingly, the union has legislated in areas such as extradition, family law, asylum law, and criminal justice. Prohibitions against sexual and nationality discrimination have a long standing in the treaties. In more recent years, these have been supplemented by powers to legislate against discrimination based on race, religion, disability, age, and sexual orientation. By virtue of these powers, the EU has enacted legislation on sexual discrimination in the work-place, age discrimination, and racial discrimination. The EU has also established agencies to co-ordinate police, prosecutorial and immigrations controls across the member states: Europol for co-operation of police forces, Eurojust for co-operation between prosecutors, and Frontex for co-operation between border control authorities. The EU also operates the Schengen Information System which provides a common database for police and immigration authorities. This co-operation had to particularly be developed with the advent of open borders through the Schengen Agreement and the associated cross border crime. Foreign relations Foreign policy co-operation between member states dates from the establishment of the community in 1957, when member states negotiated as a bloc in international trade negotiations under the EU's common commercial policy. Steps for a more wide-ranging co-ordination in foreign relations began in 1970 with the establishment of European Political Cooperation which created an informal consultation process between member states with the aim of forming common foreign policies. In 1987 the European Political Cooperation was introduced on a formal basis by the Single European Act. EPC was renamed as the Common Foreign and Security Policy (CFSP) by the Maastricht Treaty. The aims of the CFSP are to promote both the EU's own interests and those of the international community as a whole, including the furtherance of international co-operation, respect for human rights, democracy, and the rule of law. The CFSP requires unanimity among the member states on the appropriate policy to follow on any particular issue. The unanimity and difficult issues treated under the CFSP sometimes lead to disagreements, such as those which occurred over the war in Iraq. The coordinator and representative of the CFSP within the EU is the high representative of the union for foreign affairs and security policy who speaks on behalf of the EU in foreign policy and defence matters, and has the task of articulating the positions expressed by the member states on these fields of policy into a common alignment. The high representative heads up the European External Action Service (EEAS), a unique EU department that has been officially implemented and operational since 1 December 2010 on the occasion of the first anniversary of the entry into force of the Treaty of Lisbon. The EEAS will serve as a foreign ministry and diplomatic corps for the European Union. Besides the emerging international policy of the European Union, the international influence of the EU is also felt through enlargement. The perceived benefits of becoming a member of the EU act as an incentive for both political and economic reform in states wishing to fulfil the EU's accession criteria, and are considered an important factor contributing to the reform of European formerly Communist countries. This influence on the internal affairs of other countries is generally referred to as "soft power", as opposed to military "hard power". Security and defence The predecessors of the European Union were not devised as a military alliance because NATO was largely seen as appropriate and sufficient for defence purposes. 21 EU members are members of NATO while the remaining member states follow policies of neutrality. The Western European Union, a military alliance with a mutual defence clause, was disbanded in 2010 as its role had been transferred to the EU. Since the withdrawal of the United Kingdom, France is the only member officially recognised as a nuclear weapon state and the sole holder of a permanent seat on the United Nations Security Council. France and Italy are also the only EU countries that have power projection capabilities outside of Europe. Italy, Germany, the Netherlands and Belgium participate in NATO nuclear sharing. Most EU member states opposed the Nuclear Weapon Ban Treaty. Following the Kosovo War in 1999, the European Council agreed that "the Union must have the capacity for autonomous action, backed by credible military forces, the means to decide to use them, and the readiness to do so, in order to respond to international crises without prejudice to actions by NATO". To that end, a number of efforts were made to increase the EU's military capability, notably the Helsinki Headline Goal process. After much discussion, the most concrete result was the EU Battlegroups initiative, each of which is planned to be able to deploy quickly about 1500 personnel. EU forces have been deployed on peacekeeping missions from middle and northern Africa to the western Balkans and western Asia. EU military operations are supported by a number of bodies, including the European Defence Agency, European Union Satellite Centre and the European Union Military Staff. The European Union Military Staff is the highest military institution of the European Union, established within the framework of the European Council, and follows on from the decisions of the Helsinki European Council (10–11 December 1999), which called for the establishment of permanent political-military institutions. The European Union Military Staff is under the authority of the High Representative of the Union for Foreign Affairs and Security Policy and the Political and Security Committee. It directs all military activities in the EU context, including planning and conducting military missions and operations in the framework of the Common Security and Defence Policy and the development of military capabilities, and provides the Political and Security Committee with military advice and recommendations on military issues. Frontex is an agency of the EU established to manage the cooperation between national border guards securing its external borders. It aims to detect and stop illegal immigration, human trafficking and terrorist infiltration. In 2015 the European Commission presented its proposal for a new European Border and Coast Guard Agency having a stronger role and mandate along with national authorities for border management. In an EU consisting of 27 members, substantial security and defence co-operation is increasingly relying on collaboration among all member states. Humanitarian aid The European Commission's Humanitarian Aid and Civil Protection department, or "ECHO", provides humanitarian aid from the EU to developing countries. In 2012, its budget amounted to million, 51 per cent of the budget went to Africa and 20 per cent to Asia, Latin America, the Caribbean and Pacific, and 20 per cent to the Middle East and Mediterranean. Humanitarian aid is financed directly by the budget (70 per cent) as part of the financial instruments for external action and also by the European Development Fund (30 per cent). The EU's external action financing is divided into 'geographic' instruments and 'thematic' instruments. The 'geographic' instruments provide aid through the Development Cooperation Instrument (DCI, billion, 2007–2013), which must spend 95 per cent of its budget on official development assistance (ODA), and from the European Neighbourhood and Partnership Instrument (ENPI), which contains some relevant programmes. The European Development Fund (EDF, billion for the period 2008–2013 and billion for the period 2014–2020) is made up of voluntary contributions by member states, but there is pressure to merge the EDF into the budget-financed instruments to encourage increased contributions to match the 0.7 per cent target and allow the European Parliament greater oversight. In 2016, the average among EU countries was 0.4 per cent and five had met or exceeded the 0.7 per cent target: Denmark, Germany, Luxembourg, Sweden and the United Kingdom. If considered collectively, EU member states are the largest contributor of foreign aid in the world. International cooperation and development partnerships The European Union uses foreign relations instruments like the European Neighbourhood Policy which seeks to tie those countries to the east and south of the European territory of the EU to the union. These countries, primarily developing countries, include some who seek to one day become either a member state of the European Union, or more closely integrated with the European Union. The EU offers financial assistance to countries within the European Neighbourhood, so long as they meet the strict conditions of government reform, economic reform and other issues surrounding positive transformation. This process is normally underpinned by an Action Plan, as agreed by both Brussels and the target country. International recognition of sustainable development as a key element is growing steadily. Its role was recognised in three major UN summits on sustainable development: the 1992 UN Conference on Environment and Development (UNCED) in Rio de Janeiro, Brazil; the 2002 World Summit on Sustainable Development (WSSD) in Johannesburg, South Africa; and the 2012 UN Conference on Sustainable Development (UNCSD) in Rio de Janeiro. Other key global agreements are the Paris Agreement and the 2030 Agenda for Sustainable Development (United Nations, 2015). The SDGs recognise that all countries must stimulate action in the following key areas – people, planet, prosperity, peace and partnership – in order to tackle the global challenges that are crucial for the survival of humanity. EU development action is based on the European Consensus on Development, which was endorsed on 20 December 2005 by EU Member States, the council, the European Parliament and the commission. It is applied from the principles of Capability approach and Rights-based approach to development. Partnership and cooperation agreements are bilateral agreements with non-member nations. Trade The European Union is the largest exporter in the world and as of 2008 the largest importer of goods and services. Internal trade between the member states is aided by the removal of barriers to trade such as tariffs and border controls. In the eurozone, trade is helped by not having any currency differences to deal with amongst most members. The European Union Association Agreement does something similar for a much larger range of countries, partly as a so-called soft approach ('a carrot instead of a stick') to influence the politics in those countries. The European Union represents all its members at the World Trade Organization (WTO), and acts on behalf of member states in any disputes. When the EU negotiates trade related agreement outside the WTO framework, the subsequent agreement must be approved by each individual EU member state government. The European Union has concluded free trade agreements (FTAs) and other agreements with a trade component with many countries worldwide and is negotiating with many others. The European Union's services trade surplus rose from $16 billion in 2000 to more than $250 billion in 2018. In 2020, in part due to the COVID-19 pandemic, China became the EU's largest trading partner, displacing the United States. Economy As a political entity the European Union is represented in the World Trade Organization (WTO). EU member states own the estimated second largest after the United States (trillion) net wealth in the world, equal to around 20 per cent (~trillion) of the trillion (~trillion) global wealth. 19 member states have joined a monetary union known as the eurozone, which uses the euro as a single currency. The currency union represents 342million EU citizens. The euro is the second largest reserve currency as well as the second most traded currency in the world after the United States dollar. Of the top 500 largest corporations in the world measured by revenue in 2010, 161 had their headquarters in the EU. In 2016, unemployment in the EU stood at 8.9 per cent while inflation was at 2.2 per cent, and the account balance at −0.9 per cent of GDP. The average annual net earnings in the European Union was around () in 2015. There is a significant variation in nominal GDP per capita within individual EU states. The difference between the richest and poorest regions (281 NUTS-2 regions of the Nomenclature of Territorial Units for Statistics) ranged, in 2017, from 31 per cent (Severozapaden, Bulgaria) of the EU28 average () to 253 per cent (Luxembourg), or from to . Internal market Two of the original core objectives of the European Economic Community were the development of a common market, subsequently becoming a single market, and a customs union between its member states. The single market involves the free circulation of goods, capital, people, and services within the EU, and the customs union involves the application of a common external tariff on all goods entering the market. Once goods have been admitted into the market they cannot be subjected to customs duties, discriminatory taxes or import quotas, as they travel internally. The non-EU member states of Iceland, Norway, Liechtenstein and Switzerland participate in the single market but not in the customs union. Half the trade in the EU is covered by legislation harmonised by the EU. Free movement of capital is intended to permit movement of investments such as property purchases and buying of shares between countries. Until the drive towards economic and monetary union the development of the capital provisions had been slow. Post-Maastricht there has been a rapidly developing corpus of ECJ judgements regarding this initially neglected freedom. The free movement of capital is unique insofar as it is granted equally to non-member states. The free movement of persons means that EU citizens can move freely between member states to live, work, study or retire in another country. This required the lowering of administrative formalities and recognition of professional qualifications of other states. The free movement of services and of establishment allows self-employed persons to move between member states to provide services on a temporary or permanent basis. While services account for 60 per cent to 70 per cent of GDP, legislation in the area is not as developed as in other areas. This lacuna has been addressed by the Services in the Internal Market Directive 2006 which aims to liberalise the cross border provision of services. According to the treaty the provision of services is a residual freedom that only applies if no other freedom is being exercised. Monetary union and financial services The creation of a European single currency became an official objective of the European Economic Community in 1969. In 1992, having negotiated the structure and procedures of a currency union, the member states signed the Maastricht Treaty and were legally bound to fulfil the agreed-on rules including the convergence criteria if they wanted to join the monetary union. The states wanting to participate had first to join the European Exchange Rate Mechanism. In 1999, the currency union started, first as an accounting currency with eleven member states joining. In 2002, the currency was fully put into place, when euro notes and coins were issued and national currencies began to phase out in the eurozone, which by then consisted of 12 member states. The eurozone (constituted by the EU member states which have adopted the euro) has since grown to 19 countries. The euro, and the monetary policies of those who have adopted it in agreement with the EU, are under the control of the European Central Bank (ECB). The ECB is the central bank for the eurozone, and thus controls monetary policy in that area with an agenda to maintain price stability. It is at the centre of the European System of Central Banks, which comprehends all EU national central banks and is controlled by its General Council, consisting of the President of the ECB, who is appointed by the European Council, the vice-president of the ECB, and the governors of the national central banks of all 27 EU member states. The European System of Financial Supervision is an institutional architecture of the EU's framework of financial supervision composed by three authorities: the European Banking Authority, the European Insurance and Occupational Pensions Authority and the European Securities and Markets Authority. To complement this framework, there is also a European Systemic Risk Board under the responsibility of the central bank. The aim of this financial control system is to ensure the economic stability of the EU. To prevent the joining states from getting into financial trouble or crisis after entering the monetary union, they were obliged in the Maastricht treaty to fulfil important financial obligations and procedures, especially to show budgetary discipline and a high degree of sustainable economic convergence, as well as to avoid excessive government deficits and limit the government debt to a sustainable level. Industry and digital economy The European Commission working sectors are: aeronautics, automotive, biotechnology, chemicals, construction, cosmetics, defence, electronics, firearms, food and drink, gambling, healthcare, maritime, mechanics, medical, postal, raw materials, space, textile, tourism, toys and social economy (Societas cooperativa Europaea). Energy In 2006, the EU-27 had a gross inland energy consumption of 1,825 million tonnes of oil equivalent (toe). Around 46 per cent of the energy consumed was produced within the member states while 54 per cent was imported. In these statistics, nuclear energy is treated as primary energy produced in the EU, regardless of the source of the uranium, of which less than 3 per cent is produced in the EU. The EU has had legislative power in the area of energy policy for most of its existence; this has its roots in the original European Coal and Steel Community. The introduction of a mandatory and comprehensive European energy policy was approved at the meeting of the European Council in October 2005, and the first draft policy was published in January 2007. The EU has five key points in its energy policy: increase competition in the internal market, encourage investment and boost interconnections between electricity grids; diversify energy resources with better systems to respond to a crisis; establish a new treaty framework for energy co-operation with Russia while improving relations with energy-rich states in Central Asia and North Africa; use existing energy supplies more efficiently while increasing renewable energy commercialisation; and finally increase funding for new energy technologies. In 2007, EU countries as a whole imported 82 per cent of their oil, 57 per cent of their natural gas and 97.48 per cent of their uranium demands. The three largest suppliers of natural gas to the European Union are Russia, Norway and Algeria, that amounted for about three quarters of the imports in 2019. There is a strong dependence on Russian energy that the EU has been attempting to reduce. Infrastructure The European Union is working to improve cross-border infrastructure, for example through the Trans-European Networks (TEN). Projects under TEN include the Channel Tunnel, LGV Est, the Fréjus Rail Tunnel, the Öresund Bridge, the Brenner Base Tunnel and the Strait of Messina Bridge. In 2010 the estimated network covers: of roads; of railways; 330 airports; 270 maritime harbours; and 210 internal harbours. Rail transport in Europe is being synchronised with the European Rail Traffic Management System (ERTMS), an initiative to greatly enhance safety, increase efficiency of trains and enhance cross-border interoperability of rail transport in Europe by replacing signalling equipment with digitised mostly wireless versions and by creating a single Europe-wide standard for train control and command systems. The developing European transport policies will increase the pressure on the environment in many regions by the increased transport network. In the pre-2004 EU members, the major problem in transport deals with congestion and pollution. After the recent enlargement, the new states that joined since 2004 added the problem of solving accessibility to the transport agenda. The Polish road network was upgraded such as the A4 autostrada. Telecommunications and space The Galileo positioning system is another EU infrastructure project. Galileo is a proposed Satellite navigation system, to be built by the EU and launched by the European Space Agency (ESA). The Galileo project was launched partly to reduce the EU's dependency on the US-operated Global Positioning System, but also to give more complete global coverage and allow for greater accuracy, given the aged nature of the GPS system. Agriculture and fisheries The Common Agricultural Policy (CAP) is one of the long lasting policies of the European Community. The policy has the objectives of increasing agricultural production, providing certainty in food supplies, ensuring a high quality of life for farmers, stabilising markets, and ensuring reasonable prices for consumers. It was, until recently, operated by a system of subsidies and market intervention. Until the 1990s, the policy accounted for over 60 per cent of the then European Community's annual budget, and in 2013 accounted for around 34 per cent. The policy's price controls and market interventions led to considerable overproduction. These were intervention stores of products bought up by the community to maintain minimum price levels. To dispose of surplus stores, they were often sold on the world market at prices considerably below Community guaranteed prices, or farmers were offered subsidies (amounting to the difference between the community and world prices) to export their products outside the community. This system has been criticised for under-cutting farmers outside Europe, especially those in the developing world. Supporters of CAP argue that the economic support which it gives to farmers provides them with a reasonable standard of living. Since the beginning of the 1990s, the CAP has been subject to a series of reforms. Initially, these reforms included the introduction of set-aside in 1988, where a proportion of farm land was deliberately withdrawn from production, milk quotas and, more recently, the 'de-coupling' (or disassociation) of the money farmers receive from the EU and the amount they produce (by the Fischler reforms in 2004). Agriculture expenditure will move away from subsidy payments linked to specific produce, toward direct payments based on farm size. This is intended to allow the market to dictate production levels. One of these reforms entailed the modification of the EU's sugar regime, which previously divided the sugar market between member states and certain African-Caribbean nations with a privileged relationship with the EU. Competition The EU operates a competition policy intended to ensure undistorted competition within the single market. The European commissioner for competition (presently Margrethe Vestager) is one of the most powerful positions in the commission, notable for the ability to affect the commercial interests of trans-national corporations. For example, in 2001 the commission for the first time prevented a merger between two companies based in the United States (General Electric and Honeywell) which had already been approved by their national authority. Another high-profile case against Microsoft, resulted in the commission fining Microsoft over  million following nine years of legal action. Labour market The EU seasonally adjusted unemployment rate was 6.7 per cent in September 2018. The euro area unemployment rate was 8.1 per cent. Among the member states, the lowest unemployment rates were recorded in the Czech Republic (2.3 per cent), Germany and Poland (both 3.4 per cent), and the highest in Spain (14.9 per cent) and Greece (19.0 in July 2018). Social policy and equality The European Union has long sought to mitigate the effects of free markets by protecting workers rights and preventing social and environmental dumping. To this end it has adopted laws establishing minimum employment and environmental standards. These included the Working Time Directive and the Environmental Impact Assessment Directive. The EU has also sought to coordinate the social security and health systems of member states to facilitate individuals exercising free movement rights and to ensure they maintain their ability to access social security and health services in other member states. Social security main legislation is found in the Equal Treatment in Occupational Social Security Directive 86/378, the Equal Treatment in Social Security Directive 79/7/EEC, the Social Security Regulation 1408/71/EC and 883/2004/EC and the Directive 2005/36/EC The European Social Charter is the main body that recognises the social rights of European citizens. A European unemployment insurance has been proposed among others by the commissioner of Jobs Nicolas Schmit. A European Directive about Minimum Wage has also been discussed, as well as a European Directive about Minimum Income. Since 2019 there has been a European commissioner for equality and the European Institute for Gender Equality has existed since 2007. In 2020, the first ever European Union Strategy on LGBTIQ equality was approved under Helena Dalli mandate. In December 2021 the Commission announced the intention of codifying a European LGBT hate crime. Housing, youth, childhood, Functional diversity or elderly care are supportive competencies of the European Union and can be financed by the European Social Fund. The European Pillar of Social Rights contains a preamble and 3 chapters with target values for 20 fields: Chapter I: Equal opportunities and access to the labour market (general education, professional training and lifelong learning, gender equality, equal opportunities, active support for employment) Chapter II: Fair working conditions (secure and adaptable employment, wages, information about employment conditions and protection in the event of dismissals, social dialogue and involvement of workers, work-life balance, healthy, safe and well-adapted working environments and data protection) Chapter III: Social protection and inclusion (childcare and support for children, social protection, unemployment benefits, minimum income, old age income and pensions, healthcare, inclusion of people with disabilities, long-term care, housing and assistance for the homeless, access to essential services) The EPSR is intended to act as a reference document of sorts, by means of which the labour markets and social standards in the Member States may approach the standards defined in the Pillar in the long term. Regional and local policy Structural Funds and Cohesion Funds are supporting the development of underdeveloped regions of the EU. Such regions are primarily located in the states of central and southern Europe. Several funds provide emergency aid, support for candidate members to transform their country to conform to the EU's standard (Phare, ISPA, and SAPARD), and support to the Commonwealth of Independent States (TACIS). TACIS has now become part of the worldwide EuropeAid programme. Demographic transition to a society of ageing population, low fertility-rates and depopulation of non-metropolitan regions is tackled within this policies. Environment and climate In 1957, when the European Economic Community was founded, it had no environmental policy. Over the past 50 years, an increasingly dense network of legislation has been created, extending to all areas of environmental protection, including air pollution, water quality, waste management, nature conservation, and the control of chemicals, industrial hazards, and biotechnology. According to the Institute for European Environmental Policy, environmental law comprises over 500 Directives, Regulations and Decisions, making environmental policy a core area of European politics. European policy-makers originally increased the EU's capacity to act on environmental issues by defining it as a trade problem. Trade barriers and competitive distortions in the Common Market could emerge due to the different environmental standards in each member state. In subsequent years, the environment became a formal policy area, with its own policy actors, principles and procedures. The legal basis for EU environmental policy was established with the introduction of the Single European Act in 1987. Initially, EU environmental policy focused on Europe. More recently, the EU has demonstrated leadership in global environmental governance, e.g. the role of the EU in securing the ratification and coming into force of the Kyoto Protocol despite opposition from the United States. This international dimension is reflected in the EU's Sixth Environmental Action Programme, which recognises that its objectives can only be achieved if key international agreements are actively supported and properly implemented both at EU level and worldwide. The Lisbon Treaty further strengthened the leadership ambitions. EU law has played a significant role in improving habitat and species protection in Europe, as well as contributing to improvements in air and water quality and waste management. Mitigating climate change is one of the top priorities of EU environmental policy. In 2007, member states agreed that, in the future, 20 per cent of the energy used across the EU must be renewable, and carbon dioxide emissions have to be lower in 2020 by at least 20 per cent compared to 1990 levels. The European Union claims that already in 2018, its GHG emissions were 23% lower that in 1990. The EU has adopted an emissions trading system to incorporate carbon emissions into the economy. The European Green Capital is an annual award given to cities that focuses on the environment, energy efficiency, and quality of life in urban areas to create smart city. In the 2019 elections to the European Parliament, the green parties increased their power, possibly because of the rise of post materialist values. Proposals to reach a zero carbon economy in the European Union by 2050 were suggested in 2018 – 2019. Almost all member states supported that goal at an EU summit in June 2019. The Czech Republic, Estonia, Hungary, and Poland disagreed. In June 2021 the European Union passed a European Climate Law with targets of 55% GHG emissions reduction by the year 2030 and carbon neutrality by the year 2050. In 2021 the European Union and the United States pledged to cut methane emissions by 30% by the year 2030. The pledge is considered as a big achievement for climate change mitigation. In 2017, the EU emitted 9.1 per cent of global greenhouse-gas emissions. Education and research Basic education is an area where the EU's role is limited to supporting national governments. In higher education, the policy was developed in the 1980s in programmes supporting exchanges and mobility. The most visible of these has been the Erasmus Programme, a university exchange programme which began in 1987. In its first 20 years, it supported international exchange opportunities for well over 1.5 million university and college students and became a symbol of European student life. There are similar programmes for school pupils and teachers, for trainees in vocational education and training, and for adult learners in the Lifelong Learning Programme 2007–2013. These programmes are designed to encourage a wider knowledge of other countries and to spread good practices in the education and training fields across the EU. Through its support of the Bologna Process, the EU is supporting comparable standards and compatible degrees across Europe. Scientific development is facilitated through the EU's Framework Programmes, the first of which started in 1984. The aims of EU policy in this area are to co-ordinate and stimulate research. The independent European Research Council allocates EU funds to European or national research projects. EU research and technological framework programmes deal in a number of areas, for example energy where the aim is to develop a diverse mix of renewable energy to help the environment and to reduce dependence on imported fuels. Health care and food safety The EU has no major competences in the field of health care and Article 35 of the Charter of Fundamental Rights of the European Union affirms that "A high level of human health protection shall be ensured in the definition and implementation of all Union policies and activities". The European Commission's Directorate-General for Health and Consumers seeks to align national laws on the protection of people's health, on the consumers' rights, on the safety of food and other products. All EU and many other European countries offer their citizens a free European Health Insurance Card which, on a reciprocal basis, provides insurance for emergency medical treatment insurance when visiting other participating European countries. A directive on cross-border healthcare aims at promoting co-operation on health care between member states and facilitating access to safe and high-quality cross-border healthcare for European patients. The EU has some of the highest levels of life expectancy in the world, with Spain, Italy, Sweden, France, Malta, Ireland, Netherlands, Luxembourg, and Greece all among the world's top 20 countries with the highest life expectancy. In general, life expectancy is lower in Eastern Europe than in Western Europe. In 2018, the EU region with the highest life expectancy was Madrid, Spain at 85.2 years, followed by the Spanish regions of La Rioja and Castilla y León both at 84.3 years, Trentino in Italy at 84.3 years and Île-de-France in France at 84.2 years. The overall life expectancy in the EU in 2018 was 81.0 years, higher than the World average of 72.6 years. Culture Cultural co-operation between member states has been an interest of the European Union since its inclusion as a community competency in the Maastricht Treaty. Actions taken in the cultural area by the EU include the Culture 2000 seven-year programme, the European Cultural Month event, and orchestras such as the European Union Youth Orchestra. The European Capital of Culture programme selects one or more cities in every year to assist the cultural development of that city. Sport Association football is by far the most popular sport in the European Union by the number of registered players. The other sports with the most participants in clubs are tennis, basketball, swimming, athletics, golf, gymnastics, equestrian sports, handball, volleyball and sailing. Sport is mainly the responsibility of the member states or other international organisations, rather than of the EU. There are some EU policies that have affected sport, such as the free movement of workers, which was at the core of the Bosman ruling that prohibited national football leagues from imposing quotas on foreign players with European citizenship. The Treaty of Lisbon requires any application of economic rules to take into account the specific nature of sport and its structures based on voluntary activity. This followed lobbying by governing organisations such as the International Olympic Committee and FIFA, due to objections over the application of free market principles to sport, which led to an increasing gap between rich and poor clubs. The EU does fund a programme for Israeli, Jordanian, Irish, and British football coaches, as part of the Football 4 Peace project. Symbols The flag of Europe consists of a circle of 12 golden stars on a blue background. Originally designed in 1955 for the Council of Europe, the flag was adopted by the European Communities, the predecessors of the present European Union, in 1986. The Council of Europe gave the flag a symbolic description in the following terms, though the official symbolic description adopted by the EU omits the reference to the "Western world": United in Diversity was adopted as the motto of the union in 2000, having been selected from proposals submitted by school pupils. Since 1985, the flag day of the union has been Europe Day, on 9 May (the date of the 1950 Schuman declaration). The anthem of the EU is an instrumental version of the prelude to the Ode to Joy, the 4th movement of Ludwig van Beethoven's ninth symphony. The anthem was adopted by European Community leaders in 1985 and has since been played on official occasions. Besides naming the continent, the Greek mythological figure of Europa has frequently been employed as a personification of Europe. Known from the myth in which Zeus seduces her in the guise of a white bull, Europa has also been referred to in relation to the present union. Statues of Europa and the bull decorate several of the EU's institutions and a portrait of her is seen on the 2013 series of euro banknotes. The bull is, for its part, depicted on all residence permit cards. Charles the Great, also known as Charlemagne () and later recognised as Pater Europae ("Father of Europe"), has a symbolic relevance to Europe. The commission has named one of its central buildings in Brussels after Charlemagne and the city of Aachen has since 1949 awarded the Charlemagne Prize to champions of European unification. Since 2008, the organisers of this prize, in conjunction with the European Parliament, have awarded the Charlemagne Youth Prize in recognition of similar efforts led by young people. Media Media freedom is a fundamental right that applies to all member states of the European Union and its citizens, as defined in the EU Charter of Fundamental Rights as well as the European Convention on Human Rights. Within the EU enlargement process, guaranteeing media freedom is named a "key indicator of a country's readiness to become part of the EU". The majority of media in the European Union are national-orientated, although some EU-wide media focusing on European affairs have emerged since the early 1990s, such as Euronews, Eurosport, EUobserver, EURACTIV or Politico Europe. ARTE is a public Franco-German TV network that promotes programming in the areas of culture and the arts. 80 per cent of its programming are provided in equal proportion by the two member companies, while the remainder is being provided by the European Economic Interest Grouping ARTE GEIE and the channel's European partners. The MEDIA Programme of the European Union has supported the European popular film and audiovisual industries since 1991. It provides support for the development, promotion and distribution of European works within Europe and beyond. Impact The European Union has had a significant positive economic impact on most member states. According to a 2019 study of the member states who joined from 1973 to 2004, "without European integration, per capita incomes would have been, on average, approximately 10 per cent lower in the first ten years after joining the EU." Greece was the exception reported by the study, which analysed up to 2008, "to avoid confounding effects from the global financial crisis". A 2021 study in the Journal of Political Economy found that the 2004 enlargement had aggregate beneficial economic effects on all groups in both the old and new member states. The largest winners were the new member states, in particular unskilled labour in the new member states. The European Union has contributed to peace in Europe, in particular by pacifying border disputes, and to the spread of democracy, especially by encouraging democratic reforms in aspiring Eastern European member states after the collapse of the USSR. Scholar Thomas Risse wrote in 2009, "there is a consensus in the literature on Eastern Europe that the EU membership perspective had a huge anchoring effects for the new democracies." However, R. Daniel Kelemen argues that the EU has proved beneficial to leaders who are overseeing democratic backsliding, as the EU is reluctant to intervene in domestic politics, gives authoritarian governments funds which they can use to strengthen their regimes, and because freedom of movement within the EU allows dissenting citizens to leave their backsliding countries. At the same time, the union provides an external constraint that prevents soft authoritarian regimes from progressing into hard dictatorships. See also Outline of the European Union Special member state territories and the European Union List of country groupings List of multilateral free-trade agreements Euroscepticism Pan-European nationalism Brexit withdrawal agreement European Union–United Kingdom free trade agreement Notes References Citations Bibliography Further reading excerpt and text search External links EUROPA – official web portal Historical Archives of the European Union Eurostat – European Union Statistics Explained CIA World Factbook: European Union. The World Factbook. Central Intelligence Agency. The European Union: Questions and Answers Congressional Research Service 1993 establishments in the Netherlands Articles containing video clips Confederations G20 nations G7 nations International organizations based in Europe International political organizations Organisations based in Brussels Organizations awarded Nobel Peace Prizes Organizations established in 1993 Political organizations based in Europe Political systems Supranational unions Trade blocs United Nations General Assembly observers
9332
https://en.wikipedia.org/wiki/Errol%20Morris
Errol Morris
Errol Mark Morris (born February 5, 1948) is an American film director known for documentaries. In 2003, his documentary film The Fog of War: Eleven Lessons from the Life of Robert S. McNamara won the Academy Award for Best Documentary Feature. Early life and education Morris was born on February 5, 1948, into a Jewish family in Hewlett, New York. His father died when he was two and he was raised by his mother, a piano teacher. He had one older brother, Noel, who was a computer programmer. After being treated for strabismus in childhood, Morris refused to wear an eye patch. As a consequence, he has limited sight in one eye and lacks normal stereoscopic vision. In the 10th grade, Morris attended The Putney School, a boarding school in Vermont. He began playing the cello, spending a summer in France studying music under the acclaimed Nadia Boulanger, who also taught Morris's future collaborator Philip Glass. Describing Morris as a teenager, Mark Singer wrote that he "read with a passion the 14-odd Oz books, watched a lot of television, and on a regular basis went with a doting but not quite right maiden aunt ('I guess you'd have to say that Aunt Roz was somewhat demented') to Saturday matinées, where he saw such films as This Island Earth and Creature from the Black Lagoon—horror movies that, viewed again 30 years later, still seem scary to him." College Morris attended the University of Wisconsin–Madison, graduating in 1969 with a Bachelor of Arts in history. For a brief time, Morris held small jobs, first as a cable-television salesman, and then as a term-paper writer. His unorthodox approach to applying for graduate school included "trying to get accepted at different graduate schools just by showing up on their doorstep." Having unsuccessfully approached both the University of Oxford and Harvard University, Morris was able to talk his way into Princeton University, where he began studying the history of science, a topic in which he had "absolutely no background." His concentration was in the history of physics, and he was bored and unsuccessful in the prerequisite physics classes he had to take. This, together with his antagonistic relationship with his advisor Thomas Kuhn ('You won't even look through my telescope.' And his response was 'Errol, it's not a telescope, it's a kaleidoscope.') ensured that his stay at Princeton would be short. Morris left Princeton in 1972, enrolling at Berkeley as a doctoral student in philosophy. At Berkeley, he once again found that he was not well-suited to his subject. "Berkeley was just a world of pedants. It was truly shocking. I spent two or three years in the philosophy program. I have very bad feelings about it," he later said. Career After leaving UC Berkeley, he became a regular at the Pacific Film Archive. As Tom Luddy, the director of the archive at the time, later remembered: "He was a film noir nut. He claimed we weren't showing the real film noir. So I challenged him to write the program notes. Then, there was his habit of sneaking into the films and denying that he was sneaking in. I told him if he was sneaking in he should at least admit he was doing it." Unfinished project on Ed Gein Inspired by Hitchcock's Psycho, Morris visited Plainfield, Wisconsin, in 1975. While in Wisconsin, he conducted multiple interviews with Ed Gein, the infamous serial killer who resided at Mendota State Hospital in Madison. He later made plans with German film director Werner Herzog, whom Tom Luddy had introduced to Morris, to return in the summer of 1975 to secretly open the grave of Gein's mother to test their theory that Gein himself had already dug her up. Herzog arrived on schedule, but Morris had second thoughts and was not there. Herzog did not open the grave. Morris later returned to Plainfield, this time staying for almost a year, conducting hundreds of hours of interviews. Although he had plans to either write a book or make a film (which he would call Digging up the Past), Morris never completed his Ed Gein project. In the fall of 1976, Herzog visited Plainfield again, this time to shoot part of his film Stroszek. First films Morris accepted $2,000 from Herzog and used it to take a trip to Vernon, Florida. Vernon was nicknamed "Nub City" because its residents participated in a particularly gruesome form of insurance fraud in which they deliberately amputated a limb to collect the insurance money. Morris's second documentary was about the town and bore its name, although it made no mention of Vernon as "Nub City", but instead explored other idiosyncrasies of the town's residents. Morris made this omission because he received death threats while doing research; the town's residents were afraid that Morris would reveal their secret. After spending two weeks in Vernon, Morris returned to Berkeley and began working on a script for a work of fiction that he called Nub City. After a few unproductive months, he happened upon a headline in the San Francisco Chronicle that read, "450 Dead Pets Going to Napa Valley." Morris left for Napa Valley and began working on the film that would become his first feature, Gates of Heaven, which premiered in 1978. Herzog had said he would eat his shoe if Morris completed the documentary. After the film premiered, Herzog publicly followed through on the bet by cooking and eating his shoe, which was documented in the short film Werner Herzog Eats His Shoe by Les Blank. Gates of Heaven was given a limited release in the spring of 1981. Critic Roger Ebert was and remained a champion of the film, including it on his all-time top-10 best films list. Morris returned to Vernon in 1979 and again in 1980, renting a house in town and conducting interviews with the town's citizens. Vernon, Florida premiered at the 1981 New York Film Festival. Newsweek called it, "a film as odd and mysterious as its subjects, and quite unforgettable." The film, like Gates of Heaven, suffered from poor distribution. It was released on video in 1987, and DVD in 2005. After finishing Vernon, Florida, Morris tried to get funding for a variety of projects. The Road story was about an interstate highway in Minnesota; one project was about Robert Golka, the creator of laser-induced fireballs in Utah; and another story was about Centralia, Pennsylvania, the coal town in which an inextinguishable subterranean fire ignited in 1962. He eventually got funding in 1983 to write a script about John and Jim Pardue, Missouri bank robbers who had killed their father and grandmother and robbed five banks. Morris's pitch went, "The great bank-robbery sprees always take place at a time when something is going wrong in the country. Bonnie and Clyde were apolitical, but it's impossible to imagine them without the Depression as a backdrop. The Pardue brothers were apolitical, but it's impossible to imagine them without Vietnam." Morris wanted Tom Waits and Mickey Rourke to play the brothers, and he wrote the script, but the project eventually failed. Morris worked on writing scripts for various other projects, including a pair of ill-fated Stephen King adaptations. In 1984, Morris married Julia Sheehan, whom he had met in Wisconsin while researching Ed Gein and other serial killers. He would later recall an early conversation with Julia: "I was talking to a mass murderer but I was thinking of you," he said, and instantly regretted it, afraid that it might not have sounded as affectionate as he had wished. But Julia was actually flattered: "I thought, really, that was one of the nicest things anyone ever said to me. It was hard to go out with other guys after that." The Thin Blue Line In 1985, Morris became interested in Dr. James Grigson, a psychiatrist in Dallas. Under Texas law, the death penalty can only be issued if the jury is convinced that the defendant is not only guilty, but will commit further violent crimes in the future if he is not put to death. Grigson had spent 15 years testifying for such cases, and he almost invariably gave the same damning testimony, often saying that it is "one hundred per cent certain" that the defendant would kill again. This led to Grigson being nicknamed "Dr. Death." Through Grigson, Morris met the subject of his next film, 36-year-old Randall Dale Adams. Adams was serving a life sentence that had been commuted from a death sentence on a legal technicality for the 1976 murder of Robert Wood, a Dallas police officer. Adams told Morris that he had been framed, and that David Harris, who was present at the time of the murder and was the principal witness for the prosecution, had in fact killed Wood. Morris began researching the case because it related to Dr. Grigson. He was at first unconvinced of Adams's innocence. After reading the transcripts of the trial and meeting David Harris at a bar, however, Morris was no longer so sure. At the time, Morris had been making a living as a private investigator for a well-known private detective agency that specialized in Wall Street cases. Bringing together his talents as an investigator and his obsessions with murder, narration, and epistemology, Morris went to work on the case in earnest. Unedited interviews in which the prosecution's witnesses systematically contradicted themselves were used as testimony in Adams's 1986 habeas corpus hearing to determine if he would receive a new trial. David Harris famously confessed, in a roundabout manner, to killing Wood. Although Adams was finally found innocent after years of being processed by the legal system, the judge in the habeas corpus hearing officially stated that, "much could be said about those videotape interviews, but nothing that would have any bearing on the matter before this court." Regardless, The Thin Blue Line, as Morris's film would be called, was popularly accepted as the main force behind getting its subject, Randall Adams, out of prison. As Morris said of the film, "The Thin Blue Line is two movies grafted together. On one simple level is the question, Did he do it, or didn't he? And on another level, The Thin Blue Line, properly considered, is an essay on false history. A whole group of people, literally everyone, believed a version of the world that was entirely wrong, and my accidental investigation of the story provided a different version of what happened." The Thin Blue Line ranks among the most critically acclaimed documentaries ever made. According to a survey by The Washington Post, the film made dozens of critics' top ten lists for 1988, more than any other film that year. It won the documentary of the year award from both the New York Film Critics Circle and the National Society of Film Critics. Despite its widespread acclaim, it was not nominated for an Oscar, which created a small scandal regarding the nomination practices of the Academy. The Academy cited the film's genre of "non-fiction", arguing that it was not actually a documentary. Commercials and later films Although Morris has achieved fame as a documentary filmmaker, he is also an accomplished director of television commercials. In 2002, Morris directed a series of television ads for Apple Computer as part of a popular "Switch" campaign. The commercials featured ex-Windows users discussing their various bad experiences that motivated their own personal switches to Macintosh. One commercial in the series, starring Ellen Feiss, a high-schooler friend of his son Hamilton Morris, became an Internet meme. Morris has directed hundreds of commercials for various companies and products, including Adidas, AIG, Cisco Systems, Citibank, Kimberly-Clark's Depend brand, Levi's, Miller High Life, Nike, PBS, The Quaker Oats Company, Southern Comfort, EA Sports, Toyota and Volkswagen. Many of these commercials are available on his website. In 2002, Morris was commissioned to make a short film for the 75th Academy Awards. He was hired based on his advertising resume, not his career as a director of feature-length documentaries. Those interviewed ranged from Laura Bush to Iggy Pop to Kenneth Arrow to Morris's 15-year-old son Hamilton. Morris was nominated for an Emmy for this short film. He considered editing this footage into a feature-length film, focusing on Donald Trump discussing Citizen Kane (this segment was later released on the second issue of Wholphin). Morris went on to make a second short for the 79th Academy Awards in 2007, this time interviewing the various nominees and asking them about their Oscar experiences. In 2003, Morris won the Oscar for Best Documentary for The Fog of War, a film about the career of Robert S. McNamara, the Secretary of Defense during the Vietnam War under Presidents John F. Kennedy and Lyndon B. Johnson. In the haunting opening about McNamara's relationship with U.S. General Curtis LeMay during World War II, Morris brings out complexities in the character of McNamara, which shaped McNamara's positions in the Cuban Missile Crisis and the Vietnam War. Like his earlier documentary, The Thin Blue Line, The Fog of War included extensive use of re-enactments, a technique which many had believed was inappropriate for documentaries prior to his Oscar win. In July 2004, Morris directed another series of commercials in the style of the "Switch" ads. This campaign featured Republicans who voted for Bush in the 2000 election giving their personal reasons for voting for Kerry in 2004. Upon completing more than 50 commercials, Morris had difficulty getting them on the air. Eventually, the liberal advocacy group MoveOn PAC paid to air a few of the commercials. Morris also wrote an editorial for The New York Times discussing the commercials and Kerry's losing campaign. In late 2004, Morris directed a series of noteworthy commercials for Sharp Electronics. The commercials enigmatically depicted various scenes from what appeared to be a short narrative that climaxed with a car crashing into a swimming pool. Each commercial showed a slightly different perspective on the events, and each ended with a cryptic weblink. The weblink was to a fake webpage advertising a prize offered to anyone who could discover the secret location of some valuable urns. It was in fact an alternate reality game. The original commercials can be found on Morris's website. Morris directed a series of commercials for Reebok that featured six prominent National Football League (NFL) players. The 30-second promotional videos were aired during the 2006 NFL season. In 2013, Morris stated that he has made around 1,000 commercials during his career. Since then he has continued in the field, including a 2019 campaign for Chipotle. Controversy Morris encountered controversy when he agreed to film commercials for disgraced medical technology firm Theranos. The commercials advocate the advantages of Theranos' proposed single drop blood draws, which were being operated in Walgreens wellness centers in California and Arizona and intended to launch nationwide. Theranos was later found to be a fraudulent company, and when asked about his work for the company by Alex Gibney, Morris refused to discuss it at all, even off the record. In a 2019 New Yorker interview, Morris reflected, "To me, what really is interesting about Elizabeth [Holmes] ... did she really see herself as a fraud? [...] Was it calculation? I have a hard time squaring that with my own experience. Could I have been self-deceived, delusional? You betcha. I’m no different than the next guy. I’d like to think I’m a little different. But I’m still fascinated by her." 2010–present In early 2010, a new Morris documentary was submitted to several film festivals, including Toronto International Film Festival, Cannes Film Festival, and Telluride Film Festival. The film, titled Tabloid, features interviews with Joyce McKinney, a former Miss Wyoming, who was convicted in absentia for the kidnap and indecent assault of a Mormon missionary in England during 1977. Morris has also written long-form journalism, exploring different areas of interest and published on The New York Times website. A collection of these essays, titled Believing is Seeing: Observations on the Mysteries of Photography, was published by Penguin Press on September 1, 2011. In November 2011, Morris premiered a documentary short titled "The Umbrella Man"—featuring Josiah "Tink" Thompson—about the Kennedy assassination on The New York Times website. In 2012, Morris published his second book, A Wilderness of Error: The Trials of Jeffrey MacDonald, about Jeffrey MacDonald, the Green Beret physician convicted of killing his wife and two daughters on February 17, 1970. Morris first became interested in the case in the early 1990s and believes that MacDonald is not guilty after undertaking extensive research. Morris explained in a July 2013 interview, prior to the reopening of the case: "What happened here is wrong. It's wrong to convict a man under these circumstances. And if I can help correct that, I will be a happy camper." He now states that he does not believe that Macdonald is guilty, but thinks it possible that Macdonald is guilty. Style and legacy To conduct interviews, Morris invented a machine, called the Interrotron, which allows Morris and his subject to talk to each other through the camera lens itself. He explains the device as follows: Author Marsha McCreadie, in her book Documentary Superstars: How Today's Filmmakers Are Reinventing the Form, had paired Morris with Werner Herzog as practitioners and visionaries in their approach in documentary filmmaking. Morris employs the use of narrative elements within his films. These include but are not limited to: stylized lighting, musical score, and re-enactment. The use of these elements is rejected by many documentary filmmakers who followed the cinema vérité style of the previous generations. Cinema vérité is characterized by its rejection of artistic additions to documentary film. While Morris faced backlash from many of the older-era filmmakers, his style has been embraced by the younger generations of filmmakers, as the use of re-enactment is present in many contemporary documentary films. Morris advocates the reflexive style of documentary filmmaking. In Bill Nichols's book Introduction to Documentary he states that reflexive documentary "[speaks] not only about the historical world but about the problems and issues of representing it as well." Morris uses his films not only to portray social issues and non-fiction events but also to comment on the reliability of documentary making itself. His style has been spoofed in the mockumentary series Documentary Now. Even when interviewing controversial figures, Morris does not generally believe in adversarial interviews:I don’t really believe in adversarial interviews. I don’t think you learn very much. You create a theater, a gladiatorial theater, which may be satisfying to an audience, but if the goal is to learn something that you don’t know, that’s not the way to go about doing it. In fact, it’s the way to destroy the possibility of ever hearing anything interesting or new. .... the most interesting and most revealing comments have come not as a result of a question at all, but having set up a situation where people actually want to talk to you, and want to reveal something to you.However, in American Dharma, his interview with Steve Bannon about the 2016 election of Donald Trump, he "came out from behind the camera," in voice if not in face, and challenged his subject much more than he has in most of his previous films. Filmography Feature films Gates of Heaven (1978) Vernon, Florida (1981) The Thin Blue Line (1988) The Dark Wind (1991), fiction movie A Brief History of Time (1991) Fast, Cheap & Out of Control (1997) Mr. Death: The Rise and Fall of Fred A. Leuchter, Jr. (1999) The Fog of War: Eleven Lessons from the Life of Robert S. McNamara (2003) Standard Operating Procedure (2008) Tabloid (2010) The Act of Killing (executive producer) (2012) The Unknown Known (2013) The Look of Silence (executive producer) (2014) Happy Father's Day (video) (2015) Uncle Nick (executive producer) (2015) The B-Side: Elsa Dorfman's Portrait Photography (2016) National Bird (executive producer) (2016) American Dharma (2018) Enemies of the State (executive producer) (2020) My Psychedelic Love Story (2020) Short films Survivors (2008) They Were There (Documentary short) (2011) El Wingador (Documentary short) (2012) Three Short Films About Peace (2014) Leymah Gbowee: The Dream (Documentary short) (2014) Television Errol Morris Interrotron Stories: Digging Up the Past (TV miniseries documentary) (1995) First Person (TV series documentary) (17 episodes) (2000) Op-Docs (TV series documentary trilogy) The Umbrella Man about Umbrella man (JFK assassination) (2011) November 22, 1963 (2013) A Demon in the Freezer (2016) P.O.V. (executive producer) (2014–2016) It's Not Crazy, It's Sports (TV documentary series) (2015) The Subterranean Stadium (TV movie) (2015) The Streaker (TV movie) (2015) The Heist (TV movie) (2015) Most Valuable Whatever (TV movie) (2015) Chrome (TV movie) (2015) Being Mr. Met (TV movie) (2015) Zillow Hiram's Home (TV movie) (2016) Wormwood (miniseries) (2017) A Wilderness of Error (docuseries on FX) (2020) Accolades Gates of Heaven (1978) was long featured on Roger Ebert's list of the ten greatest films ever made. Golden Horse for Best Foreign Film at the Taiwan International Film Festival for The Thin Blue Line (1988) New York Film Critics Circle and the National Society of Film Critics Best Documentary for The Thin Blue Line (1988) Washington Post Best Film of the Year for The Thin Blue Line (1988) Edgar Award for Best Motion Picture, from the Mystery Writers of America, for The Thin Blue Line (1989) Guggenheim Fellowship (1989) MacArthur Fellowship (1989) Emmy for Best Commercial for PBS commercial "Photobooth" (2001) In December 2001, the United States' National Film Preservation Foundation announced that Morris's The Thin Blue Line would be one of the 25 films selected that year for preservation in the National Film Registry at the Library of Congress, bringing the total at the time to 325. 2002 International Documentary Association list of the 20 all-time best documentaries: The Thin Blue Line (#2), Fast, Cheap & Out of Control (#14) Best Documentary of the Year awards for The Fog of War (2003): the National Board of Review, the Los Angeles Film Critics Association, the Chicago Film Critics, and the Washington D.C. Area Film Critics. In 2003, The Guardian put him seventh in its list of the world's 40 best active directors. Academy Award for Documentary Feature The Fog of War (2004) Fellow of the American Academy of Arts and Sciences (2007) Jury Grand Prix Silver Bear at the 2008 Berlin International Film Festival for Standard Operating Procedure Columbia Journalism Award (2013) In 2019, The Fog of War was selected by the Library of Congress for preservation in the National Film Registry for being "culturally, historically, or aesthetically significant". Honorary degrees Middlebury College, Hon. D.F.A. (2010) Brandeis University, Hon. D.H.L. (2011) University of Wisconsin–Madison, Hon. D.H.L. (2013) Bibliography Books A Wilderness of Error: The Trials of Jeffrey MacDonald (Penguin Press, 4 September 2012) The Ashtray (Or the Man Who Denied Reality) (University of Chicago Press, 2018) Articles References External links Errol Morris discusses his career on the 7th Avenue Project radio show Errol Morris (Jonathan Crow, Allmovie) Errol Morris (Nina Rehfeld, GreenCine) Voices on Antisemitism Interview with Errol Morris from the United States Holocaust Memorial Museum Werner Herzog in conversation with Errol Morris (The Believer) The Unknown Known: Errol Morris's New Doc Tackles Unrepentant Iraq War Architect Donald Rumsfeld, a video interview on Democracy Now! Bannon & The F You Presidency (with Errol Morris) (Stay Tuned with Preet) 1948 births Living people American documentary film directors American people with disabilities 20th-century American Jews Apple Inc. advertising Directors of Best Documentary Feature Academy Award winners Edgar Award winners Fellows of the American Academy of Arts and Sciences MacArthur Fellows New York (state) Democrats People from Hewlett, New York The Putney School alumni San Francisco Art Institute alumni Time (magazine) people University of Wisconsin–Madison College of Letters and Science alumni 21st-century American Jews
9334
https://en.wikipedia.org/wiki/Ecuador
Ecuador
Ecuador ( ; ; Quechua: Ikwayur; Shuar: Ecuador or Ekuatur), officially the Republic of Ecuador (, which literally translates as "Republic of the Equator"; Quechua: Ikwadur Ripuwlika; Shuar: Ekuatur Nunka), is a country in northwestern South America, bordered by Colombia on the north, Peru on the east and south, and the Pacific Ocean on the west. Ecuador also includes the Galápagos Islands in the Pacific, about west of the mainland. The capital is Quito. The territories of modern-day Ecuador were once home to a variety of Amerindian groups that were gradually incorporated into the Inca Empire during the 15th century. The territory was colonized by Spain during the 16th century, achieving independence in 1820 as part of Gran Colombia, from which it emerged as its own sovereign state in 1830. The legacy of both empires is reflected in Ecuador's ethnically diverse population, with most of its million people being mestizos, followed by large minorities of European, Native American, and African descendants. Spanish is the official language and is spoken by a majority of the population, though 13 Native languages are also recognized, including Quechua and Shuar. The sovereign state of Ecuador is a middle-income representative democratic republic and a developing country that is highly dependent on commodities, namely petroleum and agricultural products. It is governed as a democratic presidential republic. The country is a founding member of the United Nations, Organization of American States, Mercosur, PROSUR and the Non-Aligned Movement. One of 17 megadiverse countries in the world, Ecuador hosts many endemic plants and animals, such as those of the Galápagos Islands. In recognition of its unique ecological heritage, the new constitution of 2008 is the first in the world to recognize legally enforceable Rights of Nature, or ecosystem rights. According to the Center for Economic and Policy Research, between 2006 and 2016, poverty decreased from 36.7% to 22.5% and annual per capita GDP growth was 1.5 percent (as compared to 0.6 percent over the prior two decades). At the same time, the country's Gini index of economic inequality decreased from 0.55 to 0.47. Etymology The country's name means "Equator" in Spanish, truncated from the Spanish official name, República del Ecuador ( "Republic of the Equator"), derived from the former Ecuador Department of Gran Colombia established in 1824 as a division of the former territory of the Royal Audience of Quito. Quito, which remained the capital of the department and republic, is located only about , ¼ of a degree, south of the equator. History Pre-Inca era Various peoples had settled in the area of future Ecuador before the arrival of the Incas. The archeological evidence suggests that the Paleo-Indians' first dispersal into the Americas occurred near the end of the last glacial period, around 16,500–13,000 years ago. The first people who reached Ecuador may have journeyed by land from North and Central America or by boat down the Pacific Ocean coastline. Even though their languages were unrelated, these groups developed similar groups of cultures, each based in different environments. The people of the coast developed a fishing, hunting, and gathering culture; the people of the highland Andes developed a sedentary agricultural way of life, and the people of the Amazon basin developed a nomadic hunting-and-gathering mode of existence. Over time these groups began to interact and intermingle with each other so that groups of families in one area became one community or tribe, with a similar language and culture. Many civilizations arose in Ecuador, such as the Valdivia Culture and Machalilla Culture on the coast, the Quitus (near present-day Quito), and the Cañari (near present-day Cuenca). Each civilisation developed its own distinctive architecture, pottery, and religious interests. In the highland Andes mountains, where life was more sedentary, groups of tribes cooperated and formed villages; thus the first nations based on agricultural resources and the domestication of animals formed. Eventually, through wars and marriage alliances of their leaders, a group of nations formed confederations. One region consolidated under a confederation called the Shyris, which exercised organized trading and bartering between the different regions. Its political and military power came under the rule of the Duchicela blood-line. Inca era When the Incas arrived, they found that these confederations were so developed that it took the Incas two generations of rulers—Topa Inca Yupanqui and Huayna Capac—to absorb them into the Inca Empire. The native confederations that gave them the most problems were deported to distant areas of Peru, Bolivia, and north Argentina. Similarly, a number of loyal Inca subjects from Peru and Bolivia were brought to Ecuador to prevent rebellion. Thus, the region of highland Ecuador became part of the Inca Empire in 1463 sharing the same language. In contrast, when the Incas made incursions into coastal Ecuador and the eastern Amazon jungles of Ecuador, they found both the environment and indigenous people more hostile. Moreover, when the Incas tried to subdue them, these indigenous people withdrew to the interior and resorted to guerrilla tactics. As a result, Inca expansion into the Amazon Basin and the Pacific coast of Ecuador was hampered. The indigenous people of the Amazon jungle and coastal Ecuador remained relatively autonomous until the Spanish soldiers and missionaries arrived in force. The Amazonian people and the Cayapas of Coastal Ecuador were the only groups to resist Inca and Spanish domination, maintaining their language and culture well into the 21st century. Before the arrival of the Spaniards, the Inca Empire was involved in a civil war. The untimely death of both the heir Ninan Cuchi and the Emperor Huayna Capac, from a European disease that spread into Ecuador, created a power vacuum between two factions. The northern faction headed by Atahualpa claimed that Huayna Capac gave a verbal decree before his death about how the empire should be divided. He gave the territories pertaining to present-day Ecuador and northern Peru to his favorite son Atahualpa, who was to rule from Quito; and he gave the rest to Huáscar, who was to rule from Cuzco. He willed that his heart be buried in Quito, his favorite city, and the rest of his body be buried with his ancestors in Cuzco. Huáscar did not recognize his father's will, since it did not follow Inca traditions of naming an Inca through the priests. Huáscar ordered Atahualpa to attend their father's burial in Cuzco and pay homage to him as the new Inca ruler. Atahualpa, with a large number of his father's veteran soldiers, decided to ignore Huáscar, and a civil war ensued. A number of bloody battles took place until finally Huáscar was captured. Atahualpa marched south to Cuzco and massacred the royal family associated with his brother. In 1532, a small band of Spaniards headed by Francisco Pizarro landed in Tumbez and marched over the Andes Mountains until they reached Cajamarca, where the new Inca Atahualpa was to hold an interview with them. Valverde, the priest, tried to convince Atahualpa that he should join the Catholic Church and declare himself a vassal of Spain. This infuriated Atahualpa so much that he threw the Bible to the ground. At this point the enraged Spaniards, with orders from Valverde, attacked and massacred unarmed escorts of the Inca and captured Atahualpa. Pizarro promised to release Atahualpa if he made good his promise of filling a room full of gold. But, after a mock trial, the Spaniards executed Atahualpa by strangulation. Spanish colonization New infectious diseases such as smallpox, endemic to the Europeans, caused high fatalities among the Amerindian population during the first decades of Spanish rule, as they had no immunity. At the same time, the natives were forced into the encomienda labor system for the Spanish. In 1563, Quito became the seat of a real audiencia (administrative district) of Spain and part of the Viceroyalty of Peru and later the Viceroyalty of New Granada. The 1797 Riobamba earthquake, which caused up to 40,000 casualties, was studied by Alexander von Humboldt, when he visited the area in 1801–1802. After nearly 300 years of Spanish rule, Quito was still a small city numbering 10,000 inhabitants. On 10 August 1809, the city's criollos called for independence from Spain (first among the peoples of Latin America). They were led by Juan Pío Montúfar, Quiroga, Salinas, and Bishop Cuero y Caicedo. Quito's nickname, "Luz de América" ("Light of America"), is based on its leading role in trying to secure an independent, local government. Although the new government lasted no more than two months, it had important repercussions and was an inspiration for the independence movement of the rest of Spanish America. 10 August is now celebrated as Independence Day, a national holiday. Independence On October 9, 1820, the Department of Guayaquil became the first territory in Ecuador to gain its independence from Spain, and it spawned most of the Ecuadorian coastal provinces, establishing itself as an independent state. Its inhabitants celebrated what is now Ecuador's official Independence Day on May 24, 1822. The rest of Ecuador gained its independence after Antonio José de Sucre defeated the Spanish Royalist forces at the Battle of Pichincha, near Quito. Following the battle, Ecuador joined Simón Bolívar's Republic of Gran Colombia, also including modern-day Colombia, Venezuela and Panama. In 1830, Ecuador separated from Gran Colombia and became an independent republic. Two years later, it annexed the Galapagos Islands. The 19th century was marked by instability for Ecuador with a rapid succession of rulers. The first president of Ecuador was the Venezuelan-born Juan José Flores, who was ultimately deposed, followed by several authoritarian leaders, such as Vicente Rocafuerte; José Joaquín de Olmedo; José María Urbina; Diego Noboa; Pedro José de Arteta; Manuel de Ascásubi; and Flores's own son, Antonio Flores Jijón, among others. The conservative Gabriel García Moreno unified the country in the 1860s with the support of the Roman Catholic Church. In the late 19th century, world demand for cocoa tied the economy to commodity exports and led to migrations from the highlands to the agricultural frontier on the coast. Ecuador abolished slavery and freed its black slaves in 1851. Liberal Revolution The Liberal Revolution of 1895 under Eloy Alfaro reduced the power of the clergy and the conservative land owners. This liberal wing retained power until the military "Julian Revolution" of 1925. The 1930s and 1940s were marked by instability and emergence of populist politicians, such as five-time President José María Velasco Ibarra. Loss of claimed territories since 1830 President Juan José Flores de jure territorial claims Since Ecuador's separation from Colombia on May 13, 1830, its first President, General Juan José Flores, laid claim to the territory that was called the Real Audiencia of Quito, also referred to as the Presidencia of Quito. He supported his claims with Spanish Royal decrees or Real Cedulas, that delineated the borders of Spain's former overseas colonies. In the case of Ecuador, Flores-based Ecuador's de jure claims on the following cedulas - Real Cedula of 1563, 1739, and 1740; with modifications in the Amazon Basin and Andes Mountains that were introduced through the Treaty of Guayaquil (1829) which Peru reluctantly signed, after the overwhelmingly outnumbered Gran Colombian force led by Antonio José de Sucre defeated President and General La Mar's Peruvian invasion force in the Battle of Tarqui. In addition, Ecuador's eastern border with the Portuguese colony of Brazil in the Amazon Basin was modified before the wars of Independence by the First Treaty of San Ildefonso (1777) between the Spanish Empire and the Portuguese Empire. Moreover, to add legitimacy to his claims, on February 16, 1840, Flores signed a treaty with Spain, whereby Flores convinced Spain to officially recognize Ecuadorian independence and its sole rights to colonial titles over Spain's former colonial territory known anciently to Spain as the Kingdom and Presidency of Quito. Ecuador during its long and turbulent history has lost most of its contested territories to each of its more powerful neighbors, such as Colombia in 1832 and 1916, Brazil in 1904 through a series of peaceful treaties, and Peru after a short war in which the Protocol of Rio de Janeiro was signed in 1942. Struggle for independence During the struggle for independence, before Peru or Ecuador became independent nations, a few areas of the former Vice Royalty of New Granada - Guayaquil, Tumbez, and Jaén - declared themselves independent from Spain. A few months later, a part of the Peruvian liberation army of San Martin decided to occupy the independent cities of Tumbez and Jaén with the intention of using these towns as springboards to occupy the independent city of Guayaquil and then to liberate the rest of the Audiencia de Quito (Ecuador). It was common knowledge among the top officers of the liberation army from the south that their leader San Martin wished to liberate present-day Ecuador and add it to the future republic of Peru, since it had been part of the Inca Empire before the Spaniards conquered it. However, Bolívar's intention was to form a new republic known as the Gran Colombia, out of the liberated Spanish territory of New Granada which consisted of Colombia, Venezuela, and Ecuador. San Martin's plans were thwarted when Bolívar, with the help of Marshal Antonio José de Sucre and the Gran Colombian liberation force, descended from the Andes mountains and occupied Guayaquil; they also annexed the newly liberated Audiencia de Quito to the Republic of Gran Colombia. This happened a few days before San Martin's Peruvian forces could arrive and occupy Guayaquil, with the intention of annexing Guayaquil to the rest of Audiencia of Quito (Ecuador) and to the future republic of Peru. Historic documents repeatedly stated that San Martin told Bolivar he came to Guayaquil to liberate the land of the Incas from Spain. Bolivar countered by sending a message from Guayaquil welcoming San Martin and his troops to Colombian soil. Peruvian occupation of Jaén, Tumbes, and Guayaquil In the south, Ecuador had de jure claims to a small piece of land beside the Pacific Ocean known as Tumbes which lay between the Zarumilla and Tumbes rivers. In Ecuador's southern Andes Mountain region where the Marañon cuts across, Ecuador had de jure claims to an area it called Jaén de Bracamoros. These areas were included as part of the territory of Gran Colombia by Bolivar on December 17, 1819, during the Congress of Angostura when the Republic of Gran Colombia was created. Tumbes declared itself independent from Spain on January 17, 1821, and Jaen de Bracamoros on June 17, 1821, without any outside help from revolutionary armies. However, that same year, 1821, Peruvian forces participating in the Trujillo revolution occupied both Jaen and Tumbes. Some Peruvian generals, without any legal titles backing them up and with Ecuador still federated with the Gran Colombia, had the desire to annex Ecuador to the Republic of Peru at the expense of the Gran Colombia, feeling that Ecuador was once part of the Inca Empire. On July 28, 1821, Peruvian independence was proclaimed in Lima by the Liberator San Martin, and Tumbes and Jaen, which were included as part of the revolution of Trujillo by the Peruvian occupying force, had the whole region swear allegiance to the new Peruvian flag and incorporated itself into Peru, even though Peru was not completely liberated from Spain. After Peru was completely liberated from Spain by the patriot armies led by Bolivar and Antonio Jose de Sucre at the Battle of Ayacucho dated December 9, 1824, there was a strong desire by some Peruvians to resurrect the Inca Empire and to include Bolivia and Ecuador. One of these Peruvian Generals was the Ecuadorian-born José de La Mar, who became one of Peru's presidents after Bolivar resigned as dictator of Peru and returned to Colombia. Gran Colombia had always protested Peru for the return of Jaen and Tumbes for almost a decade, then finally Bolivar after long and futile discussion over the return of Jaen, Tumbes, and part of Mainas, declared war. President and General José de La Mar, who was born in Ecuador, believing his opportunity had come to annex the District of Ecuador to Peru, personally, with a Peruvian force, invaded and occupied Guayaquil and a few cities in the Loja region of southern Ecuador on November 28, 1828. The war ended when a triumphant heavily outnumbered southern Gran Colombian army at Battle of Tarqui dated February 27, 1829, led by Antonio José de Sucre, defeated the Peruvian invasion force led by President La Mar. This defeat led to the signing of the Treaty of Guayaquil dated September 22, 1829, whereby Peru and its Congress recognized Gran Colombian rights over Tumbes, Jaen, and Maynas. Through protocolized meetings between representatives of Peru and Gran Colombia, the border was set as Tumbes river in the west and in the east the Maranon and Amazon rivers were to be followed toward Brazil as the most natural borders between them. However, what was pending was whether the new border around the Jaen region should follow the Chinchipe River or the Huancabamba River. According to the peace negotiations Peru agreed to return Guayaquil, Tumbez, and Jaén; despite this, Peru returned Guayaquil, but failed to return Tumbes and Jaén, alleging that it was not obligated to follow the agreements, since the Gran Colombia ceased to exist when it divided itself into three different nations - Ecuador, Colombia, and Venezuela. The dissolution of Gran Colombia The Central District of the Gran Colombia, known as Cundinamarca or New Granada (modern Colombia) with its capital in Bogota, did not recognize the separation of the Southern District of the Gran Colombia, with its capital in Quito, from the Gran Colombian federation on May 13, 1830. After Ecuador's separation, the Department of Cauca voluntarily decided to unite itself with Ecuador due to instability in the central government of Bogota. The Venezuelan born President of Ecuador, the general Juan José Flores, with the approval of the Ecuadorian congress annexed the Department of Cauca on December 20, 1830, since the government of Cauca had called for union with the District of the South as far back as April 1830. Moreover, the Cauca region, throughout its long history, had very strong economic and cultural ties with the people of Ecuador. Also, the Cauca region, which included such cities as Pasto, Popayán, and Buenaventura, had always been dependent on the Presidencia or Audiencia of Quito. Fruitless negotiations continued between the governments of Bogotá and Quito, where the government of Bogotá did not recognize the separation of Ecuador or that of Cauca from the Gran Colombia until war broke out in May 1832. In five months, New Granada defeated Ecuador due to the fact that the majority of the Ecuadorian Armed Forces were composed of rebellious angry unpaid veterans from Venezuela and Colombia that did not want to fight against their fellow countrymen. Seeing that his officers were rebelling, mutinying, and changing sides, President Flores had no option but to reluctantly make peace with New Granada. The Treaty of Pasto of 1832 was signed by which the Department of Cauca was turned over to New Granada (modern Colombia), the government of Bogotá recognized Ecuador as an independent country and the border was to follow the Ley de División Territorial de la República de Colombia (Law of the Division of Territory of the Gran Colombia) passed on June 25, 1824. This law set the border at the river Carchi and the eastern border that stretched to Brazil at the Caquetá river. Later, Ecuador contended that the Republic of Colombia, while reorganizing its government, unlawfully made its eastern border provisional and that Colombia extended its claims south to the Napo River because it said that the Government of Popayán extended its control all the way to the Napo River. Struggle for possession of the Amazon Basin When Ecuador seceded from the Gran Colombia, Peru decided not to follow the treaty of Guayaquil of 1829 or the protocoled agreements made. Peru contested Ecuador's claims with the newly discovered Real Cedula of 1802, by which Peru claims the King of Spain had transferred these lands from the Viceroyalty of New Granada to the Viceroyalty of Peru. During colonial times this was to halt the ever-expanding Portuguese settlements into Spanish domains, which were left vacant and in disorder after the expulsion of Jesuit missionaries from their bases along the Amazon Basin. Ecuador countered by labeling the Cedula of 1802 an ecclesiastical instrument, which had nothing to do with political borders. Peru began its de facto occupation of disputed Amazonian territories, after it signed a secret 1851 peace treaty in favor of Brazil. This treaty disregarded Spanish rights that were confirmed during colonial times by a Spanish-Portuguese treaty over the Amazon regarding territories held by illegal Portuguese settlers. Peru began occupying the defenseless missionary villages in the Mainas or Maynas region, which it began calling Loreto, with its capital in Iquitos. During its negotiations with Brazil, Peru stated that based on the royal cedula of 1802, it claimed Amazonian Basin territories up to Caqueta River in the north and toward the Andes Mountain range, depriving Ecuador and Colombia of all their claims to the Amazon Basin. Colombia protested stating that its claims extended south toward the Napo and Amazon Rivers. Ecuador protested that it claimed the Amazon Basin between the Caqueta river and the Marañon-Amazon river. Peru ignored these protests and created the Department of Loreto in 1853 with its capital in Iquitos which it had recently invaded and systematically began to occupy using the river systems in all the territories claimed by both Colombia and Ecuador. Peru briefly occupied Guayaquil again in 1860, since Peru thought that Ecuador was selling some of the disputed land for development to British bond holders, but returned Guayaquil after a few months. The border dispute was then submitted to Spain for arbitration from 1880 to 1910, but to no avail. In the early part of the 20th century, Ecuador made an effort to peacefully define its eastern Amazonian borders with its neighbours through negotiation. On May 6, 1904, Ecuador signed the Tobar-Rio Branco Treaty recognizing Brazil's claims to the Amazon in recognition of Ecuador's claim to be an Amazonian country to counter Peru's earlier Treaty with Brazil back on October 23, 1851. Then after a few meetings with the Colombian government's representatives an agreement was reached and the Muñoz Vernaza-Suarez Treaty was signed July 15, 1916, in which Colombian rights to the Putumayo river were recognized as well as Ecuador's rights to the Napo river and the new border was a line that ran midpoint between those two rivers. In this way, Ecuador gave up the claims it had to the Amazonian territories between the Caquetá River and Napo River to Colombia, thus cutting itself off from Brazil. Later, a brief war erupted between Colombia and Peru, over Peru's claims to the Caquetá region, which ended with Peru reluctantly signing the Salomon-Lozano Treaty on March 24, 1922. Ecuador protested this secret treaty, since Colombia gave away Ecuadorian claimed land to Peru that Ecuador had given to Colombia in 1916. On July 21, 1924, the Ponce-Castro Oyanguren Protocol was signed between Ecuador and Peru where both agreed to hold direct negotiations and to resolve the dispute in an equitable manner and to submit the differing points of the dispute to the United States for arbitration. Negotiations between the Ecuadorian and Peruvian representatives began in Washington on September 30, 1935. These negotiations were long and tiresome. Both sides logically presented their cases, but no one seemed to give up their claims. Then on February 6, 1937, Ecuador presented a transactional line which Peru rejected the next day. The negotiations turned into intense arguments during the next 7 months and finally on September 29, 1937, the Peruvian representatives decided to break off the negotiations without submitting the dispute to arbitration because the direct negotiations were going nowhere. Four years later in 1941, amid fast-growing tensions within disputed territories around the Zarumilla River, war broke out with Peru. Peru claimed that Ecuador's military presence in Peruvian-claimed territory was an invasion; Ecuador, for its part, claimed that Peru had recently invaded Ecuador around the Zarumilla River and that Peru since Ecuador's independence from Spain has systematically occupied Tumbez, Jaen, and most of the disputed territories in the Amazonian Basin between the Putomayo and Marañon Rivers. In July 1941, troops were mobilized in both countries. Peru had an army of 11,681 troops who faced a poorly supplied and inadequately armed Ecuadorian force of 2,300, of which only 1,300 were deployed in the southern provinces. Hostilities erupted on July 5, 1941, when Peruvian forces crossed the Zarumilla river at several locations, testing the strength and resolve of the Ecuadorian border troops. Finally, on July 23, 1941, the Peruvians launched a major invasion, crossing the Zarumilla river in force and advancing into the Ecuadorian province of El Oro. During the course of the Ecuadorian–Peruvian War, Peru gained control over part of the disputed territory and some parts of the province of El Oro, and some parts of the province of Loja, demanding that the Ecuadorian government give up its territorial claims. The Peruvian Navy blocked the port of Guayaquil, almost cutting all supplies to the Ecuadorian troops. After a few weeks of war and under pressure by the United States and several Latin American nations, all fighting came to a stop. Ecuador and Peru came to an accord formalized in the Rio Protocol, signed on January 29, 1942, in favor of hemispheric unity against the Axis Powers in World War II favoring Peru with the territory they occupied at the time the war came to an end. The 1944 Glorious May Revolution followed a military-civilian rebellion and a subsequent civic strike which successfully removed Carlos Arroyo del Río as a dictator from Ecuador's government. However, a post-Second World War recession and popular unrest led to a return to populist politics and domestic military interventions in the 1960s, while foreign companies developed oil resources in the Ecuadorian Amazon. In 1972, construction of the Andean pipeline was completed. The pipeline brought oil from the east side of the Andes to the coast, making Ecuador South America's second largest oil exporter. The pipeline in southern Ecuador did nothing to resolve tensions between Ecuador and Peru, however. The Rio Protocol failed to precisely resolve the border along a little river in the remote Cordillera del Cóndor region in southern Ecuador. This caused a long-simmering dispute between Ecuador and Peru, which ultimately led to fighting between the two countries; first a border skirmish in January–February 1981 known as the Paquisha Incident, and ultimately full-scale warfare in January 1995 where the Ecuadorian military shot down Peruvian aircraft and helicopters and Peruvian infantry marched into southern Ecuador. Each country blamed the other for the onset of hostilities, known as the Cenepa War. Sixto Durán Ballén, the Ecuadorian president, famously declared that he would not give up a single centimeter of Ecuador. Popular sentiment in Ecuador became strongly nationalistic against Peru: graffiti could be seen on the walls of Quito referring to Peru as the "Cain de Latinoamérica", a reference to the murder of Abel by his brother Cain in the Book of Genesis. Ecuador and Peru signed the Brasilia Presidential Act peace agreement on October 26, 1998, which ended hostilities, and effectively put an end to the Western Hemisphere's longest running territorial dispute. The Guarantors of the Rio Protocol (Argentina, Brazil, Chile, and the United States of America) ruled that the border of the undelineated zone was to be set at the line of the Cordillera del Cóndor. While Ecuador had to give up its decades-old territorial claims to the eastern slopes of the Cordillera, as well as to the entire western area of Cenepa headwaters, Peru was compelled to give to Ecuador, in perpetual lease but without sovereignty, of its territory, in the area where the Ecuadorian base of Tiwinza – focal point of the war – had been located within Peruvian soil and which the Ecuadorian Army held during the conflict. The final border demarcation came into effect on May 13, 1999, and the multi-national MOMEP (Military Observer Mission for Ecuador and Peru) troop deployment withdrew on June 17, 1999. Military governments (1972–79) In 1972, a "revolutionary and nationalist" military junta overthrew the government of Velasco Ibarra. The coup d'état was led by General Guillermo Rodríguez and executed by navy commander Jorge Queirolo G. The new president exiled José María Velasco to Argentina. He remained in power until 1976, when he was removed by another military government. That military junta was led by Admiral Alfredo Poveda, who was declared chairman of the Supreme Council. The Supreme Council included two other members: General Guillermo Durán Arcentales and General Luis Leoro Franco. The civil society more and more insistently called for democratic elections. Colonel Richelieu Levoyer, Government Minister, proposed and implemented a Plan to return to the constitutional system through universal elections. This plan enabled the new democratically elected president to assume the duties of the executive office. Return to democracy Elections were held on April 29, 1979, under a new constitution. Jaime Roldós Aguilera was elected president, garnering over one million votes, the most in Ecuadorian history. He took office on August 10, as the first constitutionally elected president after nearly a decade of civilian and military dictatorships. In 1980, he founded the Partido Pueblo, Cambio y Democracia (People, Change, and Democracy Party) after withdrawing from the Concentración de Fuerzas Populares (Popular Forces Concentration) and governed until May 24, 1981, when he died along with his wife and the minister of defense, Marco Subia Martinez, when his Air Force plane crashed in heavy rain near the Peruvian border. Many people believe that he was assassinated by the CIA, given the multiple death threats leveled against him because of his reformist agenda, deaths in automobile crashes of two key witnesses before they could testify during the investigation, and the sometimes contradictory accounts of the incident. Roldos was immediately succeeded by Vice President Osvaldo Hurtado, who was followed in 1984 by León Febres Cordero from the Social Christian Party. Rodrigo Borja Cevallos of the Democratic Left (Izquierda Democrática, or ID) party won the presidency in 1988, running in the runoff election against Abdalá Bucaram (brother in law of Jaime Roldos and founder of the Ecuadorian Roldosist Party). His government was committed to improving human rights protection and carried out some reforms, notably an opening of Ecuador to foreign trade. The Borja government concluded an accord leading to the disbanding of the small terrorist group, "¡Alfaro Vive, Carajo!" ("Alfaro Lives, Dammit!"), named after Eloy Alfaro. However, continuing economic problems undermined the popularity of the ID, and opposition parties gained control of Congress in 1999. The emergence of the Amerindian population as an active constituency has added to the democratic volatility of the country in recent years. The population has been motivated by government failures to deliver on promises of land reform, lower unemployment and provision of social services, and historical exploitation by the land-holding elite. Their movement, along with the continuing destabilizing efforts by both the elite and leftist movements, has led to a deterioration of the executive office. The populace and the other branches of government give the president very little political capital, as illustrated by the most recent removal of President Lucio Gutiérrez from office by Congress in April 2005. Vice President Alfredo Palacio took his place and remained in office until the presidential election of 2006, in which Rafael Correa gained the presidency. In December 2008, president Correa declared Ecuador's national debt illegitimate, based on the argument that it was odious debt contracted by corrupt and despotic prior regimes. He announced that the country would default on over $3 billion worth of bonds; he then pledged to fight creditors in international courts and succeeded in reducing the price of outstanding bonds by more than 60%. He brought Ecuador into the Bolivarian Alliance for the Americas in June 2009. Correa's administration succeeded in reducing the high levels of poverty and unemployment in Ecuador. After Correa era Rafael Correa’s three consecutive terms (from 2007 to 2017) were followed by his former Vice President Lenín Moreno’s four years as president (2017-21). After being elected in 2017, President Lenin Moreno's government adopted economically liberal policies: reduction of public spending, trade liberalization, flexibility of the labour code, etc. Ecuador also left the left-wing Bolivarian Alliance for the Americas (Alba) in August 2018. The Productive Development Act enshrines an austerity policy, and reduces the development and redistribution policies of the previous mandate. In the area of taxes, the authorities aim to "encourage the return of investors" by granting amnesty to fraudsters and proposing measures to reduce tax rates for large companies. In addition, the government waives the right to tax increases in raw material prices and foreign exchange repatriations. In October 2018, the government of President Lenin Moreno cut diplomatic relations with the Maduro administration of Venezuela, a close ally of Rafael Correa. The relations with the United States improved significantly during the presidency of Lenin Moreno. In February 2020, his visit to Washington was the first meeting between an Ecuadorian and U.S. president in 17 years. In June 2019, Ecuador had agreed to allow US military planes to operate from an airport on the Galapagos Islands. 2019 state of emergency A series of protests began on 3 October 2019 against the end of fuel subsidies and austerity measures adopted by President of Ecuador Lenín Moreno and his administration. On 10 October, protesters overran the capital Quito causing the Government of Ecuador to relocate to Guayaquil, but it was reported that the government still had plans to return to Quito. Presidency of Guillermo Lasso since 2021 The 11 April 2021 election run-off vote ended in a win for conservative former banker, Guillermo Lasso, taking 52.4% of the vote compared to 47.6% of left-wing economist Andrés Arauz, supported by exiled former president, Rafael Correa. Previously, President-elect Lasso finished second in the 2013 and 2017 presidential elections. On 24 May 2021, Guillermo Lasso was sworn in as the new President of Ecuador, becoming the country's first right-wing leader in 14 years. However, President Lasso's party CREO Movement, and its ally the Social Christian Party (PSC) secured only 31 parliamentary seats out of 137, while the Union for Hope (UNES) of Andrés Arauz was the strongest parliamentary group with 49 seats, meaning the new president needs support from Izquierda Democrática (18 seats) and the indigenist Pachakutik (27 seats) to push through his legislative agenda. Government and politics The Ecuadorian State consists of five branches of government: the Executive Branch, the Legislative Branch, the Judicial Branch, the Electoral Branch, and Transparency and Social Control. Ecuador is governed by a democratically elected president, for a four-year term. The current president of Ecuador, Guillermo Lasso, exercises his power from the presidential Palacio de Carondelet in Quito. The current constitution was written by the Ecuadorian Constituent Assembly elected in 2007, and was approved by referendum in 2008. Since 1936, voting is compulsory for all literate persons aged 18–65, optional for all other citizens. The executive branch includes 23 ministries. Provincial governors and councilors (mayors, aldermen, and parish boards) are directly elected. The National Assembly of Ecuador meets throughout the year except for recesses in July and December. There are thirteen permanent committees. Members of the National Court of Justice are appointed by the National Judicial Council for nine-year terms. Executive branch The executive branch is led by the president, an office currently held by Guillermo Lasso. He is accompanied by the vice-president, elected for four years (with the ability to be re-elected only once). As head of state and chief government official, he is responsible for public administration including the appointing of national coordinators, ministers, ministers of State and public servants. The executive branch defines foreign policy, appoints the Chancellor of the Republic, as well as ambassadors and consuls, being the ultimate authority over the Armed Forces of Ecuador, National Police of Ecuador, and appointing authorities. The acting president's wife receives the title of First Lady of Ecuador. Legislative branch The legislative branch is embodied by the National Assembly, which is headquartered in the city of Quito in the Legislative Palace, and consists of 137 assemblymen, divided into ten committees and elected for a four-year term. Fifteen national constituency elected assembly, two Assembly members elected from each province and one for every 100,000 inhabitants or fraction exceeding 150,000, according to the latest national population census. In addition, statute determines the election of assembly of regions and metropolitan districts. Judicial branch Ecuador's judiciary has as its main body the Judicial Council, and also includes the National Court of Justice, provincial courts, and lower courts. Legal representation is made by the Judicial Council. The National Court of Justice is composed of 21 judges elected for a term of nine years. Judges are renewed by thirds every three years pursuant to the Judicial Code. These are elected by the Judicial Council on the basis of opposition proceedings and merits. The justice system is buttressed by the independent offices of public prosecutor and the public defender. Auxiliary organs are as follows: notaries, court auctioneers, and court receivers. Also there is a special legal regime for Amerindians. Electoral branch The electoral system functions by authorities which enter only every four years or when elections or referendums occur. Its main functions are to organize, control elections, and punish the infringement of electoral rules. Its main body is the National Electoral Council, which is based in the city of Quito, and consists of seven members of the political parties most voted, enjoying complete financial and administrative autonomy. This body, along with the electoral court, forms the Electoral Branch which is one of Ecuador's five branches of government. Transparency and social control branch The Transparency and Social Control consists of the Council of Citizen Participation and Social Control, an ombudsman, the Comptroller General of the State, and the superintendents. Branch members hold office for five years. This branch is responsible for promoting transparency and control plans publicly, as well as plans to design mechanisms to combat corruption, as also designate certain authorities, and be the regulatory mechanism of accountability in the country. Human rights A 2003 Amnesty International report was critical that there were scarce few prosecutions for human rights violations committed by security forces, and those only in police courts, which are not considered impartial or independent. There are allegations that the security forces routinely torture prisoners. There are reports of prisoners having died while in police custody. Sometimes the legal process can be delayed until the suspect can be released after the time limit for detention without trial is exceeded. Prisons are overcrowded and conditions in detention centers are "abominable". UN's Human Rights Council's (HRC) Universal Periodic Review (UPR) has treated the restrictions on freedom of expression and efforts to control NGOs and recommended that Ecuador should stop the criminal sanctions for the expression of opinions, and delay in implementing judicial reforms. Ecuador rejected the recommendation on decriminalization of libel. According to Human Rights Watch (HRW) former president Correa intimidated journalists and subjected them to "public denunciation and retaliatory litigation". The sentences to journalists were years of imprisonment and millions of dollars of compensation, even though defendants had been pardoned. Correa stated he was only seeking a retraction for slanderous statements. According to HRW, Correa's government weakened the freedom of press and independence of the judicial system. In Ecuador's current judicial system, judges are selected in a contest of merits, rather than government appointments. However, the process of selection has been criticized as biased and subjective. In particular, the final interview is said to be given "excessive weighing". Judges and prosecutors that made decisions in favor of Correa in his lawsuits had received permanent posts, while others with better assessment grades had been rejected. The laws also forbid articles and media messages that could favor or disfavor some political message or candidate. In the first half of 2012, twenty private TV or radio stations were closed down. In July 2012, the officials warned the judges that they would be sanctioned and possibly dismissed if they allowed the citizens to appeal to the protection of their constitutional rights against the state. People engaging in public protests against environmental and other issues are prosecuted for "terrorism and sabotage", which may lead to an eight-year prison sentence. According to Freedom House, restrictions on the media and civil society have decreased since 2017. Foreign affairs Ecuador joined the Organization of Petroleum Exporting Countries (OPEC) in 1973 and suspended its membership in 1992. Under President Rafael Correa, the country returned to OPEC before leaving again in 2020 under the instruction of President Moreno, citing its desire to increase crude oil importation to gain more revenue. In Antarctica, Ecuador has maintained a peaceful research station for scientific study as a member nation of the Antarctica Treaty. Ecuador has often placed great emphasis on multilateral approaches to international issues. Ecuador is a member of the United Nations (and most of its specialized agencies) and a member of many regional groups, including the Rio Group, the Latin American Economic System, the Latin American Energy Organization, the Latin American Integration Association, the Andean Community of Nations, and the Bank of the South (Spanish: Banco del Sur or BancoSur). In 2017, the Ecuadorian parliament adopted a Law on human mobility. The International Organization for Migration lauds Ecuador as the first state to have established the promotion of the concept of universal citizenship in its constitution, aiming to promote the universal recognition and protection of the human rights of migrants. In 2017, Ecuador signed the UN treaty on the Prohibition of Nuclear Weapons. In March 2019, Ecuador withdrew from Union of South American Nations. Ecuador was an original member of the block, founded by left-wing governments in Latin America and the Caribbean in 2008. Ecuador also asked UNASUR to return the headquarters building of the organization, based in its capital city, Quito. Administrative divisions Ecuador is divided into 24 provinces (), each with its own administrative capital: The provinces are divided into cantons and further subdivided into parishes (parroquias). Regions and planning areas Regionalization, or zoning, is the union of two or more adjoining provinces in order to decentralize the administrative functions of the capital, Quito. In Ecuador, there are seven regions, or zones, each shaped by the following provinces: Region 1 (42,126 km2, or 16,265 mi2): Esmeraldas, Carchi, Imbabura, and Sucumbios. Administrative city: Ibarra Region 2 (43,498 km2, or 16,795 mi2): Pichincha, Napo, and Orellana. Administrative city: Tena Region 3 (44,710 km2, or 17,263 mi2): Chimborazo, Tungurahua, Pastaza, and Cotopaxi. Administrative city: Riobamba Region 4 (22,257 km2, or 8,594 mi2): Manabí and Santo Domingo de los Tsachilas. Administrative city: Ciudad Alfaro Region 5 (38,420 km2, or 14,834 mi2): Santa Elena, Guayas, Los Ríos, Galápagos, and Bolívar. Administrative city: Milagro Region 6 (38,237 km2, or 14,763 mi2): Cañar, Azuay, and Morona Santiago. Administrative city: Cuenca Region 7 (27,571 km2, or 10,645 mi2): El Oro, Loja, and Zamora Chinchipe. Administrative city: Loja Quito and Guayaquil are Metropolitan Districts. Galápagos, despite being included within Region 5, is also under a special unit. Military The Ecuadorian Armed Forces (Fuerzas Armadas de la Republica de Ecuador), consists of the Army, Air Force, and Navy and have the stated responsibility for the preservation of the integrity and national sovereignty of the national territory. The military tradition starts in Gran Colombia, where a sizable army was stationed in Ecuador due to border disputes with Peru, which claimed territories under its political control when it was a Spanish vice-royalty. Once Gran Colombia was dissolved after the death of Simón Bolívar in 1830, Ecuador inherited the same border disputes and had the need of creating its own professional military force. So influential was the military in Ecuador in the early republican period that its first decade was under the control of General Juan José Flores, first president of Ecuador of Venezuelan origin. General Jose Ma. Urbina and General Robles are examples of military figures who became presidents of the country in the early republican period. Due to the continuous border disputes with Peru, finally settled in the early 2000s, and due to the ongoing problem with the Colombian guerrilla insurgency infiltrating Amazonian provinces, the Ecuadorian Armed Forces has gone through a series of changes. In 2009, the new administration at the Defense Ministry launched a deep restructuring within the forces, increasing spending budget to $1,691,776,803, an increase of 25%. The Military Academy General Eloy Alfaro (c. 1838) located in Quito is in charge to graduate the army officers. The IWIAS is a special force trained to perform exploration and military activities. This army branch is considered the best elite force of Ecuador and is conformed by indigenous of the Amazon who combine their inherital experience for jungle dominance with modern army tactics. The Ecuadorian Navy Academy (c. 1837), located in Salinas graduates the navy officers. The Air Academy "Cosme Rennella (c. 1920), also located in Salinas, graduates the air force officers. Other training academies for different military specialties are found across the country. Geography Ecuador has a total area of , including the Galápagos Islands. Of this, is land and water. The Galápagos Islands are sometimes considered part of Oceania, which would thus make Ecuador a transcontinental country under certain definitions. Ecuador is bigger than Uruguay, Suriname, Guyana and French Guiana in South America. Ecuador lies between latitudes 2°N and 5°S, bounded on the west by the Pacific Ocean, and has of coastline. It has of land boundaries, with Colombia in the north (with a border) and Peru in the east and south (with a border). It is the westernmost country that lies on the equator. The country has four main geographic regions: La Costa, or "the coast": The coastal region consists of the provinces to the west of the Andean range – Esmeraldas, Guayas, Los Ríos, Manabí, El Oro, Santo Domingo de los Tsachilas and Santa Elena. It is the country's most fertile and productive land, and is the seat of the large banana exportation plantations of the companies Dole and Chiquita. This region is also where most of Ecuador's rice crop is grown. The truly coastal provinces have active fisheries. The largest coastal city is Guayaquil. La Sierra, or "the highlands": The sierra consists of the Andean and Interandean highland provinces – Azuay, Cañar, Carchi, Chimborazo, Imbabura, Loja, Pichincha, Bolívar,Cotopaxi and Tungurahua. This land contains most of Ecuador's volcanoes and all of its snow-capped peaks. Agriculture is focused on the traditional crops of potato, maize, and quinua and the population is predominantly Amerindian Kichua. The largest Sierran city is Quito. La Amazonía, also known as El Oriente, or "the east": The oriente consists of the Amazon jungle provinces – Morona Santiago, Napo, Orellana, Pastaza, Sucumbíos, and Zamora-Chinchipe. This region is primarily made up of the huge Amazon national parks and Amerindian untouchable zones, which are vast stretches of land set aside for the Amazon Amerindian tribes to continue living traditionally. It is also the area with the largest reserves of petroleum in Ecuador, and parts of the upper Amazon here have been extensively exploited by petroleum companies. The population is primarily mixed Amerindian Shuar, Huaorani and Kichua, although there are numerous tribes in the deep jungle which are little-contacted. The largest city in the Oriente is probably Lago Agrio in Sucumbíos, although Macas in Morona Santiago runs a close second. La Región Insular is the region comprising the Galápagos Islands, some west of the mainland in the Pacific Ocean. Ecuador's capital and largest city is Quito, which is in the province of Pichincha in the Sierra region. Its second largest city is Guayaquil, in the Guayas Province. Cotopaxi, just south of Quito, is one of the world's highest active volcanoes. The top of Mount Chimborazo (6,268 m, or 20,560 ft, above sea level), Ecuador's tallest mountain, is the most distant point from the center of the Earth on the Earth's surface because of the ellipsoid shape of the planet. Climate There is great variety in the climate, largely determined by altitude. It is mild year-round in the mountain valleys, with a humid subtropical climate in coastal areas and rainforest in lowlands. The Pacific coastal area has a tropical climate with a severe rainy season. The climate in the Andean highlands is temperate and relatively dry, and the Amazon basin on the eastern side of the mountains shares the climate of other rainforest zones. Because of its location at the equator, Ecuador experiences little variation in daylight hours during the course of a year. Both sunrise and sunset occur each day at the two six o'clock hours. The country has seen its seven glaciers lose 54.4% of their surface in forty years. Research predicts their disappearance by 2100. The cause is climate change, which threatens both the fauna and flora and the population. Hydrology The Andes is the watershed divisor between the Amazon watershed, which runs to the east, and the Pacific, including the north–south rivers Mataje, Santiago, Esmeraldas, Chone, Guayas, Jubones, and Puyango-Tumbes. Almost all of the rivers in Ecuador form in the Sierra region and flow east toward the Amazon River or west toward the Pacific Ocean. The rivers rise from snowmelt at the edges of the snowcapped peaks or from the abundant precipitation that falls at higher elevations. In the Sierra region, the streams and rivers are narrow and flow rapidly over precipitous slopes. Rivers may slow and widen as they cross the hoyas yet become rapid again as they flow from the heights of the Andes to the lower elevations of the other regions. The highland rivers broaden as they enter the more level areas of the Costa and the Oriente. In the Costa, the external coast has mostly intermittent rivers that are fed by constant rains from December through May and become empty riverbeds during the dry season. The few exceptions are the longer, perennial rivers that flow throughout the external coast from the internal coast and La Sierra on their way to the Pacific Ocean. The internal coast, by contrast, is crossed by perennial rivers that may flood during the rainy season, sometimes forming swamps. Major rivers in the Oriente include the Pastaza, Napo, and Putumayo. The Pastaza is formed by the confluence of the Chambo and the Patate rivers, both of which rise in the Sierra. The Pastaza includes the Agoyan waterfall, which at is the highest waterfall in Ecuador. The Napo rises near Mount Cotopaxi and is the major river used for transport in the eastern lowlands. The Napo ranges in width from . In its upper reaches, the Napo flows rapidly until the confluence with one of its major tributaries, the Coca River, where it slows and levels off. The Putumayo forms part of the border with Colombia. All of these rivers flow into the Amazon River. The Galápagos Islands have no significant rivers. Several of the larger islands, however, have freshwater springs, although they are surrounded by the Pacific Ocean. Biodiversity Ecuador is one of seventeen megadiverse countries in the world according to Conservation International, and it has the most biodiversity per square kilometer of any nation. Ecuador has 1,600 bird species (15% of the world's known bird species) in the continental area and 38 more endemic in the Galápagos. In addition to more than 16,000 species of plants, the country has 106 endemic reptiles, 138 endemic amphibians, and 6,000 species of butterfly. The Galápagos Islands are well known as a region of distinct fauna, as the famous place of birth to Darwin's Theory of Evolution, and as a UNESCO World Heritage Site. Ecuador has the first constitution to recognize the rights of nature. The protection of the nation's biodiversity is an explicit national priority as stated in the National Plan of "Buen Vivir", or good living, Objective 4, "Guarantee the rights of nature", Policy 1: "Sustainably conserve and manage the natural heritage, including its land and marine biodiversity, which is considered a strategic sector". As of the writing of the plan in 2008, 19% of Ecuador's land area was in a protected area; however, the plan also states that 32% of the land must be protected in order to truly preserve the nation's biodiversity. Current protected areas include 11 national parks, 10 wildlife refuges, 9 ecological reserves, and other areas. A program begun in 2008, Sociobosque, is preserving another 2.3% of total land area (6,295 km2, or 629,500 ha) by paying private landowners or community landowners (such as Amerindian tribes) incentives to maintain their land as native ecosystems such as native forests or grasslands. Eligibility and subsidy rates for this program are determined based on the poverty in the region, the number of hectares that will be protected, and the type of ecosystem of the land to be protected, among other factors. Ecuador had a 2018 Forest Landscape Integrity Index mean score of 7.66/10, ranking it 35th globally out of 172 countries. Despite being on the UNESCO list, the Galápagos are endangered by a range of negative environmental effects, threatening the existence of this exotic ecosystem. Additionally, oil exploitation of the Amazon rainforest has led to the release of billions of gallons of untreated wastes, gas, and crude oil into the environment, contaminating ecosystems and causing detrimental health effects to Amerindian peoples. One of the best known examples is the Texaco-Chevron case. This American oil company operated in the Ecuadorian Amazon region between 1964 and 1992. During this period, Texaco drilled 339 wells in 15 petroleum fields and abandoned 627 toxic wastewater pits, as well as other elements of the oil infrastructure. It is now known that these highly polluting and now obsolete technologies were used as a way to reduce expenses. In 2022 the supreme court of Ecuador decided that "“under no circumstances can a project be carried out that generates excessive sacrifices to the collective rights of communities and nature.” It also required the government to respect the opinion of Indigenous peoples of the Americas about different industrial projects on their land. Advocates of the decision argue that it will have consequences far beyond Ecuador. In general, ecosystems are in better shape when indigenous peoples own or manage the land. Economy Ecuador has a developing economy that is highly dependent on commodities, namely petroleum and agricultural products. The country is classified as an upper-middle-income country. Ecuador's economy is the eighth largest in Latin America and experienced an average growth of 4.6% between 2000 and 2006. From 2007 to 2012, Ecuador's GDP grew at an annual average of 4.3 percent, above the average for Latin America and the Caribbean, which was 3.5%, according to the United Nations' Economic Commission for Latin American and the Caribbean (ECLAC). Ecuador was able to maintain relatively superior growth during the crisis. In January 2009, the Central Bank of Ecuador (BCE) put the 2010 growth forecast at 6.88%. In 2011, its GDP grew at 8% and ranked 3rd highest in Latin America, behind Argentina (2nd) and Panama (1st). Between 1999 and 2007, GDP doubled, reaching $65,490 million according to BCE. The inflation rate until January 2008, was about 1.14%, the highest in the past year, according to the government. The monthly unemployment rate remained at about 6 and 8 percent from December 2007 until September 2008; however, it went up to about 9 percent in October and dropped again in November 2008 to 8 percent. Unemployment mean annual rate for 2009 in Ecuador was 8.5% because the global economic crisis continued to affect the Latin American economies. From this point, unemployment rates started a downward trend: 7.6% in 2010, 6.0% in 2011, and 4.8% in 2012. The extreme poverty rate has declined significantly between 1999 and 2010. In 2001, it was estimated at 40% of the population, while by 2011 the figure dropped to 17.4% of the total population. This is explained to an extent by emigration and the economic stability achieved after adopting the U.S. dollar as official means of transaction (before 2000, the Ecuadorian sucre was prone to rampant inflation). However, starting in 2008, with the bad economic performance of the nations where most Ecuadorian emigrants work, the reduction of poverty has been realized through social spending, mainly in education and health. Oil accounts for 40% of exports and contributes to maintaining a positive trade balance. Since the late 1960s, the exploitation of oil increased production, and proven reserves are estimated at 6.51 billion barrels . The overall trade balance for August 2012 was a surplus of almost $390 million for the first six months of 2012, a huge figure compared with that of 2007, which reached only $5.7 million; the surplus had risen by about $425 million compared to 2006. The oil trade balance positive had revenues of $3.295 million in 2008, while non-oil was negative, amounting to $2.842 million. The trade balance with the United States, Chile, the European Union, Bolivia, Peru, Brazil, and Mexico is positive. The trade balance with Argentina, Colombia, and Asia is negative. In the agricultural sector, Ecuador is a major exporter of bananas (first place worldwide in production and export), flowers, and the seventh largest producer of cocoa. Ecuador also produces coffee, rice, potatoes, cassava (manioc, tapioca), plantains and sugarcane; cattle, sheep, pigs, beef, pork and dairy products; fish, and shrimp; and balsa wood. The country's vast resources include large amounts of timber across the country, like eucalyptus and mangroves. Pines and cedars are planted in the region of La Sierra and walnuts, rosemary, and balsa wood in the Guayas River Basin. The industry is concentrated mainly in Guayaquil, the largest industrial center, and in Quito, where in recent years the industry has grown considerably. This city is also the largest business center of the country. Industrial production is directed primarily to the domestic market. Despite this, there is limited export of products produced or processed industrially. These include canned foods, liquor, jewelry, furniture, and more. A minor industrial activity is also concentrated in Cuenca. Incomes from tourism has been increasing during the last few years because of the Government showing the variety of climates and the biodiversity of Ecuador. Ecuador has negotiated bilateral treaties with other countries, besides belonging to the Andean Community of Nations, and an associate member of Mercosur. It also serves on the World Trade Organization (WTO), in addition to the Inter-American Development Bank (IDB), World Bank, International Monetary Fund (IMF), Corporación Andina de Fomento (CAF) and other multilateral agencies. In April 2007, Ecuador paid off its debt to the IMF, thus ending an era of interventionism of the Agency in the country. The public finance of Ecuador consists of the Central Bank of Ecuador (BCE), the National Development Bank (BNF), the State Bank. Tourism The Ministry of Information and Tourism was created on August 10, 1992, at the beginning of the government of Sixto Durán Ballén, who viewed tourism as a fundamental activity for the economic and social development of the peoples. Faced with the growth of the tourism sector, in June 1994, the decision was taken to separate tourism from information, so that it is exclusively dedicated to promoting and strengthening this activity. Ecuador is a country with vast natural wealth. The diversity of its four regions has given rise to thousands of species of flora and fauna. It has approximately 1640 kinds of birds. The species of butterflies border 4,500, the reptiles 345, the amphibians 358, and the mammals 258, among others. Not in vain, Ecuador is considered one of the 17 countries where the planet's highest biodiversity is concentrated, being also the largest country with diversity per km2 in the world. Most of its fauna and flora lives in 26 protected areas by the state. Also, it has a huge culture spectrum. Since 2007, with the government of Rafael Correa, the tourism brand "Ecuador Ama la Vida" has been transformed, with which the nation's tourism promotion would be sold. Focused on considering it as a country friendly and respectful of nature, natural biodiversity, and cultural diversity of the peoples. And for this, means of exploiting them are developed along with the private economy. The country has two cities with UNESCO World Heritage Sites: Quito and Cuenca, as well as two natural UNESCO World Heritage Sites: the Galapagos Islands and Sangay National Park in addition to one World Biosphere Reserve, such as the Cajas Massif. Culturally, the Toquilla straw hat and the culture of the Zapara indigenous people are recognized. The most popular sites for national and foreign tourists have different nuances due to the various tourist activities offered by the country. Among the main tourist destinations are: Nature attractions: Galápagos Islands, Yasuni National Park, El Cajas National Park, Sangay National Park, Podocarpus National Park, Vilcabamba, Baños de Agua Santa. Cultural attractions: Historic center of Quito, Ciudad Mitad del Mundo, Ingapirca, Historic center of Cuenca, Latacunga and its Mama Negra festival. Snowy mountains: Antisana volcano, Cayambe volcano, Chimborazo volcano, Cotopaxi volcano, Illinizas volcanoes. Beaches: Atacames, Bahía de Caráquez, Crucita, Esmeraldas, Manta, Montañita, Playas, Salinas Transport The rehabilitation and reopening of the Ecuadorian railroad and use of it as a tourist attraction is one of the recent developments in transportation matters. The roads of Ecuador in recent years have undergone important improvement. The major routes are Pan American (under enhancement from four to six lanes from Rumichaca to Ambato, the conclusion of 4 lanes on the entire stretch of Ambato and Riobamba and running via Riobamba to Loja). In the absence of the section between Loja and the border with Peru, there are the Route Espondilus and/or Ruta del Sol (oriented to travel along the Ecuadorian coastline) and the Amazon backbone (which crosses from north to south along the Ecuadorian Amazon, linking most and more major cities of it). Another major project is developing the road Manta – Tena, the highway Guayaquil – Salinas Highway Aloag Santo Domingo, Riobamba – Macas (which crosses Sangay National Park). Other new developments include the National Unity bridge complex in Guayaquil, the bridge over the Napo river in Francisco de Orellana, the Esmeraldas River Bridge in the city of the same name, and, perhaps the most remarkable of all, the Bahia – San Vincente Bridge, being the largest on the Latin American Pacific coast. Cuenca's tramway is the largest public transport system in the city and the first modern tramway in Ecuador. It was inaugurated on March 8, 2019. It has and 27 stations. It will transport 120,000 passagers daily. Its route starts in the south of Cuenca and ends in the north at the Parque Industrial neighbourhood. The Mariscal Sucre International Airport in Quito and the José Joaquín de Olmedo International Airport in Guayaquil have experienced a high increase in demand and have required modernization. In the case of Guayaquil it involved a new air terminal, once considered the best in South America and the best in Latin America and in Quito where an entire new airport has been built in Tababela and was inaugurated in February 2013, with Canadian assistance. However, the main road leading from Quito city center to the new airport will only be finished in late 2014, making current travelling from the airport to downtown Quito as long as two hours during rush hour. Quito's old city-center airport is being turned into parkland, with some light industrial use. Demographics Ecuador's population is ethnically diverse and the estimates put Ecuador's population at . The largest ethnic group () is the Mestizos, who are mixed race people of Amerindian and European descent, typically from Spanish colonists, in some cases this term can also include Amerindians that are culturally more Spanish influenced, and constitute about 71% of the population (although including the Montubio, a term used for coastal Mestizo population, brings this up to about 79%). The White Ecuadorians (White Latin American) are a minority accounting for 6.1% of the population of Ecuador and can be found throughout all of Ecuador, primarily around the urban areas. Even though Ecuador's white population during its colonial era were mainly descendants from Spain, today Ecuador's white population is a result of a mixture of European immigrants, predominantly from Spain with people from Italy, Germany, France, and Switzerland who have settled in the early 20th century. In addition, there is a small European Jewish (Ecuadorian Jews) population, which is based mainly in Quito and to a lesser extent in Guayaquil. Ecuador also has a small population of Asian origins, mainly those from West Asia, like the economically well off descendants of Lebanese and Palestinian immigrants, who are either Christian or Muslim (see Islam in Ecuador), and an East Asian community mainly consisting of those of Japanese and Chinese descent, whose ancestors arrived as miners, farmhands and fishermen in the late 19th century. Amerindians account for 7% of the current population. The mostly rural Montubio population of the coastal provinces of Ecuador, who might be classified as Pardo account for 7.4% of the population. The Afro-Ecuadorians are a minority population (7%) in Ecuador, that includes the Mulattos and zambos, and are largely based in the Esmeraldas province and to a lesser degree in the predominantly Mestizo provinces of Coastal Ecuador - Guayas and Manabi. In the Highland Andes where a predominantly Mestizo, white and Amerindian population exist, the African presence is almost non-existent except for a small community in the province of Imbabura called Chota Valley. 5,000 Romani people live in Ecuador. Religion According to the Ecuadorian National Institute of Statistics and Census, 91.95% of the country's population have a religion, 7.94% are atheists and 0.11% are agnostics. Among the people who have a religion, 80.44% are Roman Catholic Latin Rite (see List of Roman Catholic dioceses in Ecuador), 11.30% are Evangelical Protestants, 1.29% are Jehovah's Witnesses and 6.97% other (mainly Jewish, Buddhists and Latter-day Saints). In the rural parts of Ecuador, Amerindian beliefs and Catholicism are sometimes syncretized. Most festivals and annual parades are based on religious celebrations, many incorporating a mixture of rites and icons. There is a small number of Eastern Orthodox Christians, Amerindian religions, Muslims (see Islam in Ecuador), Buddhists and Baháʼí. According to their own estimates, The Church of Jesus Christ of Latter-day Saints accounts for about 1.4% of the population, or 211,165 members at the end of 2012. According to their own sources, in 2017 there were 92,752 Jehovah's Witnesses in the country. The first Jews arrived in Ecuador in the 16th and 17th centuries. Most of them are Sephardic Anusim (Crypto-Jews) and many still speak Judaeo-Spanish (Ladino) language. Today the Jewish Community of Ecuador (Comunidad Judía del Ecuador) has its seat in Quito and has approximately 200 members. Nevertheless, this number is declining because young people leave the country for the United States or Israel. The Community has a Jewish Center with a synagogue, a country club, and a cemetery. It supports the "Albert Einstein School", where Jewish history, religion, and Hebrew classes are offered. There are very small communities in Cuenca. The "Comunidad de Culto Israelita" reunites the Jews of Guayaquil. This community works independently from the "Jewish Community of Ecuador" and is composed of only 30 people. Nations The Ecuadorian constitution recognizes the "pluri-nationality" of those who want to exercise their affiliation with their native ethnic groups. Thus, in addition to criollos, mestizos, and Afro-Ecuadorians, some people belong to the Amerindian nations scattered in a few places in the coast, Quechua Andean villages, and the Amazonian jungle. Population genetics According to genealogical DNA testing done in 2015, the average Ecuadorian is estimated to be 52.96% Amerindian, 41.77% European, and 5.26% Sub-Saharan African overall. Prior to this, a genetic study done in 2008 by the University of Brasilia, estimated that Ecuadorian genetic admixture was 64.6% Amerindian, 31.0% European, and 4.4% African. Largest cities The five largest cities in the country are Quito (2.78 million inhabitants), Guayaquil (2.72 million inhabitants), Cuenca (636,996 inhabitants), Santo Domingo (458,580 inhabitants), and Ambato (387,309 inhabitants). The most populated metropolitan areas of the country are those of Guayaquil, Quito, Cuenca, Manabí Centro (Portoviejo-Manta) and Ambato. Immigration and emigration Ecuador houses a small East Asian community mainly consisting of those of Japanese and Chinese descent, whose ancestors arrived as miners, farmhands and fishermen in the late 19th century. In the early years of World War II, Ecuador still admitted a certain number of immigrants, and in 1939, when several South American countries refused to accept 165 Jewish refugees from Germany aboard the ship Koenigstein, Ecuador granted them entry permits. In the early 1900s there was immigration from Italians, Germans, Portuguese, French, Britons and Greeks. In the 1950s the Italians were the third largest national group in terms of numbers of immigrants, since Ecuador like Mexico and the Andean countries did not receive a significant total number of immigrants. It can be noted that, after World War I, people from Liguria, still constituted the majority of the flow, even though they then represented only one third of the total number of immigrants in Ecuador. This situation came from the improvement of the economic situation in Liguria. The classic paradigm of the Italian immigrant today was not that of the small trader from Liguria as it had been before; those who emigrated to Ecuador were professionals and technicians, employees and religious people from South-Central Italy. It must be remembered that many immigrants, a remarkable number of Italians among them, moved to the Ecuadorian port from Peru to escape from the Peruvian war with Chile. The Italian government came to be more interested in the emigration phenomenon in Ecuador because of the necessity of finding an outlet for the large number of immigrants who traditionally went to the United States but who could no longer enter this country because of the new measures that imposed restrictions in the 1920s. Most of these communities and their descendants are located in the Guayas region of the country. In recent years, Ecuador has grown in popularity among North American expatriates. Another perk that draws many expats to Ecuador is its low cost of living. Since everything from gas to groceries costs far less than in North America, it is a popular choice for those who are looking to make the most of their retirement budget. Culture Ecuador's mainstream culture is defined by its mestizo majority, and, like their ancestry, it is traditionally of Spanish heritage, influenced in different degrees by Amerindian traditions and in some cases by African elements. The first and most substantial wave of modern immigration to Ecuador consisted of Spanish colonists, following the arrival of Europeans in 1499. A lower number of other Europeans and North Americans migrated to the country in the late 19th and early 20th centuries and, in smaller numbers, Poles, Lithuanians, English, Irish, and Croats during and after the Second World War. Since African slavery was not the workforce of the Spanish colonies in the Andes Mountains, given the subjugation of the Amerindian people through proselytization and encomiendas, the minority population of African descent is mostly found in the coastal northern province of Esmeraldas. This is largely owing to the 17th-century shipwreck of a slave-trading galleon off the northern coast of Ecuador. The few African survivors swam to the shore and penetrated the then-thick jungle under the leadership of Anton, the chief of the group, where they remained as free men maintaining their original culture, not influenced by the typical elements found in other provinces of the coast or in the Andean region. A little later, freed slaves from Colombia known as cimarrones joined them. In the small Chota Valley of the province of Imbabura exists a small community of Africans among the province's predominantly mestizo population. These blacks are descendants of Africans, who were brought over from Colombia by Jesuits to work their colonial sugar plantations as slaves. As a general rule, small elements of zambos and mulattoes coexisted among the overwhelming mestizo population of coastal Ecuador throughout its history as gold miners in Loja, Zaruma, and Zamora and as shipbuilders and plantation workers around the city of Guayaquil. Today you can find a small community of Africans in the Catamayo valley of the predominantly mestizo population of Loja. Ecuador's Amerindian communities are integrated into the mainstream culture to varying degrees, but some may also practice their own native cultures, particularly the more remote Amerindian communities of the Amazon basin. Spanish is spoken as the first language by more than 90% of the population and as a first or second language by more than 98%. Part of Ecuador's population can speak Amerindian languages, in some cases as a second language. Two percent of the population speak only Amerindian languages. Language Most Ecuadorians speak Spanish as their first language, with its ubiquity permeating and dominating most of the country, though there are many who speak an Amerindian language, such as Kichwa (also spelled Quechua), which is one of the Quechuan languages and is spoken by approximately 2.5 million people in Ecuador, Bolivia, Colombia, and Peru. Other Amerindian languages spoken in Ecuador include Awapit (spoken by the Awá), A'ingae (spoken by the Cofan), Shuar Chicham (spoken by the Shuar), Achuar-Shiwiar (spoken by the Achuar and the Shiwiar), Cha'palaachi (spoken by the Chachi), Tsa'fiki (spoken by the Tsáchila), Paicoca (spoken by the Siona and Secoya), and Wao Tededeo (spoken by the Waorani). Use of these Amerindian languages are, however, gradually diminishing due to Spanish's widespread use in education. Though most features of Ecuadorian Spanish are universal to the Spanish-speaking world, there are several idiosyncrasies. Music The music of Ecuador has a long history. Pasillo is a genre of indigenous Latin music. In Ecuador it is the "national genre of music". Through the years, many cultures have brought their influences together to create new types of music. There are also different kinds of traditional music like albazo, pasacalle, fox incaico, tonada, capishca, Bomba (highly established in Afro-Ecuadorian societies), and so on. Tecnocumbia and Rockola are clear examples of the influence of foreign cultures. One of the most traditional forms of dancing in Ecuador is Sanjuanito. It is originally from northern Ecuador (Otavalo-Imbabura). Sanjuanito is a type of dance music played during festivities by the mestizo and Amerindian communities. According to the Ecuadorian musicologist Segundo Luis Moreno, Sanjuanito was danced by Amerindian people during San Juan Bautista's birthday. This important date was established by the Spaniards on June 24, coincidentally the same date when Amerindian people celebrated their rituals of Inti Raymi. Cuisine Ecuadorian cuisine is diverse, varying with the altitude and associated agricultural conditions. Most regions in Ecuador follow the traditional three-course meal of soup, a course that includes rice and a protein, and then dessert and coffee to finish. In the highland region, various dishes of pork, chicken, beef, and cuy (guinea pig) are popular and are served with a variety of grains (especially rice and mote) or potatoes. In the coastal region, seafood is very popular, with fish, shrimp, and ceviche being key parts of the diet. Generally, ceviches are served with fried plantain (chifles or patacones), popcorn, or tostado. Plantain- and peanut-based dishes are the basis of most coastal meals. Encocados (dishes that contain a coconut sauce) are also very popular. Churrasco is a staple food of the coastal region, especially Guayaquil. Arroz con menestra y carne asada (rice with beans and grilled beef) is one of the traditional dishes of Guayaquil, as is fried plantain, which is often served with it. This region is a leading producer of bananas, cocoa beans (to make chocolate), shrimp, tilapia, mango, and passion fruit, among other products. In the Amazon region, a dietary staple is the yuca, elsewhere called cassava. Many fruits are available in this region, including bananas, tree grapes, and peach palms. Literature Early literature in colonial Ecuador, as in the rest of Spanish America, was influenced by the Spanish Golden Age. One of the earliest examples is Jacinto Collahuazo, an Amerindian chief of a northern village in today's Ibarra, born in the late 1600s. Despite the early repression and discrimination of the native people by the Spanish, Collahuazo learned to read and write in Castilian, but his work was written in Quechua. The use of Quipu was banned by the Spanish, and in order to preserve their work, many Inca poets had to resort to the use of the Latin alphabet to write in their native Quechua language. The history behind the Inca drama "Ollantay", the oldest literary piece in existence for any Amerindian language in America, shares some similarities with the work of Collahuazo. Collahuazo was imprisoned and all of his work burned. The existence of his literary work came to light many centuries later, when a crew of masons was restoring the walls of a colonial church in Quito and found a hidden manuscript. The salvaged fragment is a Spanish translation from Quechua of the "Elegy to the Dead of Atahualpa", a poem written by Collahuazo, which describes the sadness and impotence of the Inca people of having lost their king Atahualpa. Other early Ecuadorian writers include the Jesuits Juan Bautista Aguirre, born in Daule in 1725, and Father Juan de Velasco, born in Riobamba in 1727. De Velasco wrote about the nations and chiefdoms that had existed in the Kingdom of Quito (today Ecuador) before the arrival of the Spanish. His historical accounts are nationalistic, featuring a romantic perspective of precolonial history. Famous authors from the late colonial and early republic period include Eugenio Espejo, a printer and main author of the first newspaper in Ecuadorian colonial times; Jose Joaquin de Olmedo (born in Guayaquil), famous for his ode to Simón Bolívar titled Victoria de Junin; Juan Montalvo, a prominent essayist and novelist; Juan Leon Mera, famous for his work "Cumanda" or "Tragedy among Savages" and the Ecuadorian National Anthem; Juan A. Martinez with A la Costa; Dolores Veintimilla; and others. Contemporary Ecuadorian writers include the novelist Jorge Enrique Adoum; the poet Jorge Carrera Andrade; the essayist Benjamín Carrión; the poets Medardo Angel Silva, Jorge Carrera Andrade, and Luis Alberto Costales; the novelist Enrique Gil Gilbert; the novelist Jorge Icaza (author of the novel Huasipungo, translated to many languages); the short story author Pablo Palacio; and the novelist Alicia Yanez Cossio. In spite of Ecuador's considerable mystique, it is rarely featured as a setting in contemporary western literature. One exception is "The Ecuadorian Deception", a murder mystery/thriller authored by American Bear Mills. In it, George d'Hout, a website designer from the United States is lured under false pretenses to Guayaquil. A corrupt American archaeologist is behind the plot, believing d'Hout holds the keys to locating a treasure hidden by a buccaneer ancestor. The story is based on a real pirate by the name of George d'Hout who terrorized Guayaquil in the 16th Century. Art The best known art styles from Ecuador belonged to the Escuela Quiteña (Quito School), which developed from the 16th to 18th centuries, examples of which are on display in various old churches in Quito. Ecuadorian painters include Eduardo Kingman, Oswaldo Guayasamín, and Camilo Egas from the Indiginist Movement; Manuel Rendon, Jaime Zapata, Enrique Tábara, Aníbal Villacís, Theo Constanté, Luis Molinari, Araceli Gilbert, Judith Gutierrez, Félix Arauz, and Estuardo Maldonado from the Informalist Movement; Teddy Cobeña from expressionism and figurative style and Luis Burgos Flor with his abstract, futuristic style. The Amerindian people of Tigua, Ecuador, are also world-renowned for their traditional paintings. Sports The most popular sport in Ecuador, as in most South American countries, is football. Its best known professional teams include; Emelec from Guayaquil, Liga De Quito from Quito; Barcelona S.C. from Guayaquil, the most popular team in Ecuador, also the team with most local championships; Deportivo Quito, and El Nacional from Quito; Olmedo from Riobamba; and Deportivo Cuenca from Cuenca. Currently the most successful football team in Ecuador is LDU Quito, and it is the only Ecuadorian team that has won the Copa Libertadores, the Copa Sudamericana, and the Recopa Sudamericana; they were also runners-up in the 2008 FIFA Club World Cup. The matches of the Ecuadorian national team are the most-watched sporting events in the country. Ecuador has qualified for the final rounds of the 2002, the 2006, & the 2014 FIFA World Cups. The 2002 FIFA World Cup qualifying campaign was considered a huge success for the country and its inhabitants. Ecuador finished in 2nd place in the CONMEBOL qualifiers behind Argentina and above the team that would become World Champions, Brazil. In the 2006 FIFA World Cup, Ecuador finished ahead of Poland and Costa Rica finishing second behind Germany in Group A in the 2006 World Cup. They were defeated by England in the second round. Ecuador has won five medals at the Olympic Games. Jefferson Pérez, former 20-km (12 mi) racewalker Jefferson Pérez, won a gold medal at the 1996 games, and a silver medal at the 12 years later. Pérez also set a world best in the 2003 World Championships of 1:17:21 for the 20-km (12 mi) distance. Richard Carapaz became the first Ecuadorian to win a Grand Tour, as well as the first Ecuadorian cyclist to win an Olympic medal. He won the 2019 Giro d'Italia, and a gold medal at the Tokyo 2020 Olympics in the men's individual road race. as well as the road race at the 2020 Summer Olympics in Tokyo (postponed to 2021 due to the COVID-19 pandemic). Weightlifter Neisi Dajomes is the first Ecuadorian woman to ever win an Olympic medal, and so far, the only Ecuadorian woman to have won a gold medal at the Olympics. She won gold at the Tokyo 2020 Olympics in the 69 kg class. Weighlifter Tamara Salazar won a silver medal at the Tokyo 2020 Olympics in the 87 kg class. Weightlifter Angie Palacios, who is Neisi Dajomes’ younger sister, won an Olympic diploma at the Tokyo 2020 Olympics after finishing in 6th place in the 64 kg class. Health The current structure of the Ecuadorian public health care system dates back to 1967. The Ministry of the Public Health (Ministerio de Salud Pública del Ecuador) is the responsible entity of the regulation and creation of the public health policies and health care plans. The Minister of Public Health is appointed directly by the President of the Republic. The current minister, or Ecuadorian general surgeon, is Ximena Garzón. The philosophy of the Ministry of Public Health is the social support and service to the most vulnerable population, and its main plan of action lies around communitarian health and preventive medicine. Many USA medical groups often visit regions away from the big cities to provide medical health to poor communities at their own expenses. It is known as medical missions some are Christian Organizations. The public healthcare system allows patients to be treated without an appointment in public general hospitals by general practitioners and specialists in the outpatient clinic (Consulta Externa) at no cost. This is done in the four basic specialties of pediatric, gynecology, clinic medicine, and surgery. There are also public hospitals specialized to treat chronic diseases, target a particular group of the population, or provide better treatment in some medical specialties. Some examples in this group are the Gynecologic Hospitals, or Maternities, Children Hospitals, Geriatric Hospitals, and Oncology Institutes. Although well-equipped general hospitals are found in the major cities or capitals of provinces, there are basic hospitals in the smaller towns and canton cities for family care consultation and treatments in pediatrics, gynecology, clinical medicine, and surgery. Community health care centers (Centros de Salud) are found inside metropolitan areas of cities and in rural areas. These are day hospitals that provide treatment to patients whose hospitalization is under 24 hours. The doctors assigned to rural communities, where the Amerindian population can be substantial, have small clinics under their responsibility for the treatment of patients in the same fashion as the day hospitals in the major cities. The treatment in this case respects the culture of the community. The public healthcare system should not be confused with the Ecuadorian Social Security healthcare service, which is dedicated to individuals with formal employment and who are affiliated obligatorily through their employers. Citizens with no formal employment may still contribute to the social security system voluntarily and have access to the medical services rendered by the social security system. The Ecuadorian Institute of Social Security (IESS) has several major hospitals and medical sub-centers under its administration across the nation. Ecuador currently ranks 20, in most efficient health care countries, compared to 111 back in the year 2000. Ecuadorians have a life expectancy of 77.1 years. The infant mortality rate is 13 per 1,000 live births, a major improvement from approximately 76 in the early 1980s and 140 in 1950. 23% of children under five are chronically malnourished. Population in some rural areas have no access to potable water, and its supply is provided by mean of water tankers. There are 686 malaria cases per 100,000 people. Basic health care, including doctor's visits, basic surgeries, and basic medications, has been provided free since 2008. However, some public hospitals are in poor condition and often lack necessary supplies to attend the high demand of patients. Private hospitals and clinics are well equipped but still expensive for the majority of the population. Between 2008 and 2016, new public hospitals have been built, the number of civil servants has increased significantly and salaries have been increased. In 2008, the government introduced universal and compulsory social security coverage. In 2015, corruption remains a problem. Overbilling is recorded in 20% of public establishments and in 80% of private establishments. Education The Ecuadorian Constitution requires that all children attend school until they achieve a "basic level of education", which is estimated at nine school years. In 1996, the net primary enrollment rate was 96.9%, and 71.8% of children stayed in school until the fifth grade / age 10. The cost of primary and secondary education is borne by the government, but families often face significant additional expenses such as fees and transportation costs. Provision of public schools falls far below the levels needed, and class sizes are often very large, and families of limited means often find it necessary to pay for education. In rural areas, only 10% of the children go on to high school. In a 2015 report, The Ministry of Education states that in 2014 the mean number of school years completed in rural areas is 7.39 as compared to 10.86 in urban areas. Sciences and research Ecuador was placed in 96th position of innovation in technology in a 2013 World Economic Forum study. Ecuador was ranked 99th in the Global Innovation Index in 2019 and 2020. The most notable icons in Ecuadorian sciences are the mathematician and cartographer Pedro Vicente Maldonado, born in Riobamba in 1707, and the printer, independence precursor, and medical pioneer Eugenio Espejo, born in 1747 in Quito. Among other notable Ecuadorian scientists and engineers are Lieutenant Jose Rodriguez Labandera, a pioneer who built the first submarine in Latin America in 1837; Reinaldo Espinosa Aguilar (1898–1950), a botanist and biologist of Andean flora; and José Aurelio Dueñas (1880–1961), a chemist and inventor of a method of textile serigraphy. The major areas of scientific research in Ecuador have been in the medical fields, tropical and infectious diseases treatments, agricultural engineering, pharmaceutical research, and bioengineering. Being a small country and a consumer of foreign technology, Ecuador has favored research supported by entrepreneurship in information technology. The antivirus program Checkprogram, banking protection system MdLock, and Core Banking Software Cobis are products of Ecuadorian development. The scientific production in hard sciences has been limited due to lack of funding but focused around physics, statistics, and partial differential equations in mathematics. In the case of engineering fields, the majority of scientific production comes from the top three polytechnic institutions: Escuela Superior Politécnica del Litoral - ESPOL, Universidad de Las Fuerzas Armadas - ESPE, and Escuela Politécnica Nacional EPN. The Center for Research and Technology Development in Ecuador is an autonomous center for research and technology development funded by Senecyt. However, according to Nature, the multidisciplinary scientific journal, the top 10 institutions that carry the most outstanding scientific contributions are: Yachay Tech University (Yachay Tech), Escuela Politécnica Nacional (EPN), and Universidad San Francisco de Quito (USFQ). Nature Index - Top 10 institutions from Ecuador EPN is known for research and education in the applied science, astronomy, atmospheric physics, engineering and physical sciences. The Geophysics Institute monitors over the country's volcanoes in the Andes Mountains of Ecuador and in the Galápagos Islands, all of which is part of the Ring of Fire. EPN adopted the polytechnic university model that stresses laboratory instruction in applied science and engineering. The oldest observatory in South America is the Quito Astronomical Observatory and is located in Quito, Ecuador. The Quito Astronomical Observatory, which gives the global community of a Virtual Telescope System that is connected via the Internet and allows the world to watch by streaming, is managed by EPN. Contemporary Ecuadorian scientists who have been recognized by international institutions are Eugenia del Pino, the first Ecuadorian to be elected to the United States National Academy of Sciences, and Arturo Villavicencio, who was part of the working group of the IPCC, which shared the 2007 Nobel Peace Prize with Al Gore for their dissemination of the effects of climate change. High Performance Computing Ecuadorian institutions compute extensive information using supercomputers such as Quinde I, the most powerful of that country performing 232 TeraFLOPS. Institutions that have High Performance Computing centers: National Polytechnic School (EPN) Armed Forces University (ESPE) Universidad San Francisco de Quito (USFQ) Universidad Técnica Particular de Loja (UTPL) University of Cuenca Yachay Tech University (YT) Currently, the politics of research and investigation are managed by the National Secretary of Higher Education, Science, and Technology (Senescyt). See also Index of Ecuador-related articles Outline of Ecuador References Further reading Ades, H. and Graham, M. (2010) The Rough Guide to Ecuador, Rough Guides Becker, M. (2008) Indians and Leftists in the Making of Ecuador's Modern Indigenous Movements, Duke University Press Books Becker, M. and Clark, A. K. (2007) Highland Indians and the State in Modern Ecuador, University of Pittsburgh Press Blakenship, J. (2005) Cañar: A Year in the Highlands of Ecuador, University of Texas Press Brown, J. and Smith, J. (2009) Moon Guidebook: Ecuador and the Galápagos Islands, Avalon Travel Publishing Crowder, N. (2009) Culture Shock! Ecuador: A Survival Guide to Customs and Etiquette, Marshall Cavendish Corporation Gerlach, A. (2003) Indians, Oil, and Politics: A Recent History of Ecuador, SR Books Handelsman, M. H. (2008) Culture and Customs of Ecuador, Greenwood Hurtado, O. (2010) Portrait of a Nation: Culture and Progress in Ecuador, Madison Books O'Connor, E. (2007) Gender, Indian, Nation: The Contradictions of Making Ecuador, 1830–1925, University of Arizona Press Pineo, R. (2007) Ecuador and the United States: Useful Strangers, University of Georgia Press Roos, W. and Van Renterghem, O. (2000) Ecuador in Focus: A Guide to the People, Politics, and Culture, Latin America Bureau Sawyer, S. (2004) Crude Chronicles: Indigenous Politics, Multinational Oil, and Neoliberalism in Ecuador, Duke University Press Books Striffler, S. (2001) In the Shadows of State and Capital: The United Fruit Company, Popular Struggle, and Agrarian Restructuring in Ecuador – 1900–1995, Duke University Press Books Torre, C. de la and Striffler, S. (2008) The Ecuador Reader: History, Culture, Politics, Duke University Press Books Various (2010) Insight Guidebook: Ecuador & Galápagos, Insight Guides Various (2009) Lonely Planet Guide: Ecuador & the Galápagos Islands, Lonely Planet Whitten, N. E. (2011) Histories of the Present: People and Power in Ecuador, University of Illinois Press Whitten, N. E. (2003) Millennial Ecuador: Critical Essays on Cultural Transformations and Social Dynamics, University Of Iowa Press External links President of Ecuador CIA Library Site: Chief of State and Cabinet Members Ecuador. The World Factbook. Central Intelligence Agency. Ecuador at UCB Libraries GovPubs Ecuador profile from the BBC News Andean Community Countries in South America Former Spanish colonies Former OPEC member states Member states of the Union of South American Nations Current member states of the United Nations Republics Spanish-speaking countries and territories States and territories established in 1830 Transcontinental countries
9335
https://en.wikipedia.org/wiki/History%20of%20Ecuador
History of Ecuador
The History of Ecuador extends over an 8,000-year period. During this time, a variety of cultures and territories influenced what has become the Republic of Ecuador. The history can be divided into six eras: Pre-Columbian, the Conquest, the Colonial Period, the War of Independence, Gran Colombia and Simón Bolívar, and the final separation of his vision into what is known today as the Republic of Ecuador. Pre-Columbian Ecuador During the pre-Inca period, people lived in clans, which formed great tribes, some allied with each other to form powerful confederations, as the Confederation of Quito. But none of these confederations could resist the formidable momentum of the Tawantinsuyu. The invasion of the Incas in the 16th century was very painful and bloody. However, once occupied by the Quito hosts of Huayna Capac (1523–1525), the Incas developed an extensive administration and began the colonization of the region. The Pre-Columbian era can be divided up into four eras: the Pre-ceramic Period, the Formative Period, the Period of Regional Development and the Period of Integration and the Arrival of the Incas. The Pre-ceramic period begins with the end of the first ice-age and continued until 4200 BCE. The Las Vegas culture and The Inga Cultures dominated this period. The Las Vegas culture lived on the Santa Elena Peninsula on the coast of Ecuador between 9,000 and 6,000 BC. The earliest people were hunters-gatherers and fishermen. Around 6,000 BC cultures in the region were among the first to begin farming. The Ingas lived in the Sierra near present-day Quito between 9000 and 8000 BC along an ancient trade route. During the Formative Period, people of the region moved from hunter-gathering and simple farming into a more developed society, with permanent developments, an increase in agriculture and the use of ceramics. New cultures included the Machalilla culture, Valdivia, Chorrera in the coast; Cotocollao, The Chimba in the sierra; and Pastaza, Chiguaza in the eastern region. The Valdivia culture is the first culture where significant remains have been discovered. Their civilization dates back as early as 3500 B.C. Living in the area near The Valdivias, they were the first Americans to use pottery. They navigated the seas and established a trade network with tribes in the Andes and the Amazon. Succeeding the Valdivia, the Machalilla culture were a farming culture who thrived along the coast of Ecuador between the 2nd and 1st millennia BC. These appear to be the earliest people to cultivate maize in this part of South America. Existing in the late formative period the Chorrera culture lived in the Andes and Coastal Regions of Ecuador between 1000 and 300 BC. Period of Regional Development The period of Regional Development is identified by the emergence of regional differences in territorial or political and social organization. Among the main cultures of this period were the Jambelí, Guangala, Bahia, Tejar-Daule, La Tolita, Jama Coaque on the coast, Cerro Narrío Alausí in the sierras, and Tayos in the Ecuadorian Amazon jungle. La Chimba, north of Quito, is the site of the earliest ceramics found in the northern Andes and is representative of the Formative Period in its final stage. Its inhabitants were in contact with villages on the coast and the mountains, in close proximity to the Cotocollao culture located on the plateau of Quito and its surrounding valleys. The Bahia culture occupied the area that stretches from the foothills of the Andes to the Pacific Ocean, and from Bahía de Caráquez to the south of Manabi. The Jama-Coaque culture inhabited areas between Cabo San Francisco in Esmeraldas and Bahía de Caráquez in Manabi, in an area of wooded hills and vast beaches which facilitated the gathering of resources from both the jungle and the ocean. The La Tolita developed in the coastal region of Southern Colombia and Northern Ecuador between 600 BCE and 200 AD. A Number of archaeological sites have been discovered and show the highly artistic nature of this culture. Artifacts are characterized by gold jewelry, beautiful anthropomorphous masks and figurines that reflect a hierarchical society with complex ceremonies. Period of Integration and the arrival of the Inca Tribes throughout Ecuador integrated during this period. They created better housing that allowed them to improve their living conditions and no longer be subject to the climate. In the mountains Cosangua-Píllaro, the Capulí and Piartal-Tuza cultures arose, in the eastern region was the Yasuní Phase while the Milagro, Manteña and Huancavilca cultures developed on the coast. The Manteños The Manteños were the last of the pre-Columbian cultures in the coastal region existing between 600 and 1534. They were the first to witness the arrival of Spanish ships sailing in the surrounding Pacific Ocean. According to archaeological evidence and Spanish chronicles the civilization existed from Bahía de Caráquez to Cerro de Hojas in the south. They were excellent weavers, produced textiles, articles of gold, silver spondylus shells and mother of pearl. The manteños mastered the seas and created an extensive trade routes as far as Chile to the south and Western Mexico to the north. The center of the culture was in the area of Manta which was named in their honor. The Huancavilcas The Huancavilcas constitute the most important pre-Columbian culture of Guayas. These warriors were noted for their appearance. Huancavilca of culture is the legend of Guayas and Quiles, which gives its name to the city of Guayaquil. The Shyris and the Kingdom of Quito The existence of the Kingdom of Quito was formed by the Quitus, the Puruhaes and Cañari who inhabited the Andean regions of Ecuador by that time. Their main settlement was located in the area now known as the city of Quito, and its inhabitants were called Quitus. The Quitus were militarily weak, and formed only a small, poorly organized kingdom. Because of this it could not raise a strong resistance against invaders, and were easily defeated and subjugated by the Shyris, ancient indigenous people who joined the Kingdom of Quito. The Shyris dominated for more than 700 years, and their dynasty saw the invasion of the Inca Tupac Yupanqui. The Incas The Inca civilization expansion northward from modern-day Peru during the late 15th century met with fierce resistance by several Ecuadorian tribes, particularly the Cañari, in the region around modern-day Cuenca; the Cara in the Sierra north of Quito along with the Quitu, occupants of the site of the modern capital, with whom they had formed the Kingdom of Quito. The conquest of Ecuador began in 1463 under the leadership of the ninth Inca, the great warrior Pachacuti Inca Yupanqui. In that year, his son Tupa took over command of the army and began his march northward through the Sierra. By 1500 Tupa's son, Huayna Capac, overcame the resistance of these populations and that of the Cara, and thus incorporated most of modern-day Ecuador into Tawantinsuyu, or the Inca empire. The influence of these conquerors based in Cuzco (modern-day Peru) was limited to about a half century, or less in some parts of Ecuador. During that period, some aspects of life remained unchanged. Traditional religious beliefs, for example, persisted throughout the period of Inca rule. In other areas, however, such as agriculture, land tenure, and social organization, Inca rule had a profound effect despite its relatively short duration. Emperor Huayna Capac became fond of Quito, making it a secondary capital of Tawantinsuyu and living out his elder years there before his death in about 1527. Huayna Capac's sudden death and the death days later of the Incan heir apparent from a strange disease, described by one source as smallpox, precipitated a bitter power struggle between the legitimate heir Huáscar, whose mother was Coya (Empress) Mama Rahua Occillo, and Atahualpa, a son born to a Quitu princess who was reputedly his father's favorite. This struggle raged during the half-decade before the arrival of Francisco Pizarro's conquering expedition in 1532. The key battle of this civil war was fought on Ecuadorian soil, near Riobamba, where Huáscar's northbound troops were met and defeated by Atahualpa's southbound troops. Atahualpa's final victory over Huáscar in the days just before the Spanish conquerors arrived resulted in large part from the loyalty of two of Huayna Capac's best generals, who were based in Quito along with Atahualpa. The victory remains a source of national pride to Ecuadorians as a rare case when "Ecuador" bested a "neighboring country" by force. Spanish discovery and conquest As the Inca Civil War raged, in 1530 the Spanish landed in Ecuador. Led by Francisco Pizarro, the conquistadors learned that the conflict and disease were destroying the empire. After receiving reinforcements in September 1532, Pizarro set out to the newly victorious Atahualpa. Arriving at Cajamarca, Pizarro sent an embassy, led by Hernando de Soto, with 15 horsemen and an interpreter; shortly thereafter he sent 20 more horsemen led by his brother Hernando Pizarro as reinforcements in case of an Inca attack. Atahualpa was in awe of these men dressed in full clothing, with long beards and riding horses (an animal he had never seen). In town Pizarro set a trap for the Inca and the Battle of Cajamarca began. The Inca forces greatly outnumbered the Spanish; however, the Spanish superiority of weapons and tactics and the fact that the most trusted Inca generals were in Cusco led to an easy defeat and the capture of the Incan Emperor. During the next year Pizarro held Atahualpa for ransom. The Incas filled the Ransom Room with gold and silver awaiting a release that would never happen. On August 29, 1533 Atahualpa was garroted. The Spanish then set out to conquer the rest of Tawantinsuyu, capturing Cuzco in November 1533. Benalcázar, Pizarro's lieutenant and fellow Extremaduran, had already departed from San Miguel with 140 foot soldiers and a few horses on his conquering mission to Ecuador. At the foot of Mount Chimborazo, near the modern city of Riobamba (Ecuador), he met and defeated the forces of the great Inca warrior Rumiñahui with the aid of Cañari tribesmen who served as guides and allies to the conquering Spaniards. Rumiñahui fell back to Quito, and, while in pursuit of the Inca army, Benalcázar encountered another, quite sizable, conquering party led by Guatemalan Governor Pedro de Alvarado. Bored with administering Central America, Alvarado had set sail for the south without the crown's authorization, landed on the Ecuadorian coast, and marched inland to the Sierra. Most of Alvarado's men joined Benalcázar for the siege of Quito. In 1533, Rumiñahui burned the city to prevent the Spanish from taking it, destroying the ancient pre-Hispanic city. In 1534 Sebastián de Belalcázar along with Diego de Almagro established the city of San Francisco de Quito on top of the ruins of the secondary Inca capital, naming it in honor of Pizarro. It was not until December 1540 that Quito received its first captain-general in the person of Francisco Pizarro's brother, Gonzalo Pizarro. Benalcázar had also founded the city of Guayaquil in 1533, but it had subsequently been retaken by the local Huancavilca tribesmen. Francisco de Orellana, yet another lieutenant of Francisco Pizarro from the Spanish city of Trujillo, put down the native rebellion and in 1537 reestablished this city, which a century later would become one of Spain's principal ports in South America. Spanish colonial era Between 1544 and 1563, Ecuador was a part of Spain's colonies in the New World under the Viceroyalty of Peru, having no administrative status independent of Lima. It remained a part of the Viceroyalty of Peru until 1720, when it joined the newly created Viceroyalty of New Granada; within the viceroyalty, however, Ecuador was awarded its own audiencia in 1563, allowing it to deal directly with Madrid on certain matters. The Quito Audiencia, which was both a court of justice and an advisory body to the viceroy, consisted of a president and several judges (oidores). The most common form in which the Spanish occupied the land was the encomienda. By the early 17th century, there were some 500 encomiendas in Ecuador. Although many consisted of quite sizable haciendas, they were generally much smaller than the estates commonly found elsewhere in South America. A multitude of reforms and regulations did not prevent the encomienda from becoming a system of virtual slavery of the Native Ecuadorians, estimated at about one-half the total Ecuadorian population, who lived on them. In 1589 the president of the audiencia recognized that many Spaniards were accepting grants only to sell them and undertake urban occupations, and he stopped distributing new lands to Spaniards; however, the institution of the encomienda persisted until nearly the end of the colonial period. The coastal lowlands north of Manta were conquered, not by the Spanish, but by blacks from the Guinean coast who, as slaves, were shipwrecked en route from Panama to Peru in 1570. The blacks killed or enslaved the native males and married the females, and within a generation they constituted a population of zambos that resisted Spanish authority until the end of the century and afterwards managed to retain a great deal of political and cultural independence. The coastal economy revolved around shipping and trade. Guayaquil, despite being destroyed on several occasions by fire and incessantly plagued by either yellow fever or malaria, was a center of vigorous trade among the colonies, a trade that was technically illegal under the mercantilist philosophy of the contemporary Spanish rulers. Guayaquil also became the largest shipbuilding center on the west coast of South America before the end of the colonial period. The Ecuadorian economy, like that in the mother country, suffered a severe depression throughout most of the 18th century. Textile production dropped an estimated 50 to 75 percent between 1700 and 1800. Ecuador's cities gradually fell into ruins, and by 1790 the elite was reduced to poverty, selling haciendas and jewelry in order to subsist. The Native Ecuadorian population, in contrast, probably experienced an overall improvement in its situation, as the closing of the obrajes commonly led Native Ecuadorians to work under less arduous conditions on either haciendas or traditional communal lands. Ecuador's economic woes were, no doubt, compounded by the expulsion of the Jesuits in 1767 by King Charles III of Spain. Missions in the Oriente were abandoned, and many of the best schools and the most efficient haciendas and obrajes lost the key that made them outstanding institutions in colonial Ecuador. Jesuits of Quito during the Colonial era Father Rafael Ferrer was the first Jesuita de Quito (Jesuit of Quito) to explore and found missions in the upper Amazon regions of South America from 1602 to 1610, which at that period belonged to the Audiencia of Quito, that was a part of the Viceroyalty of Peru until the Audiencia of Quito was transferred to the newly created Viceroyalty of New Granada in 1717. In 1602, Father Rafael Ferrer began to explore the Aguarico, Napo, and Marañon rivers (Sucumbios region in what is today Ecuador and Peru), and set up, between 1604 and 1605, missions among the Cofan people. Father Rafael Ferrer was martyred in 1610. In 1637, the Jesuits of Quito, Gaspar Cugia and Lucas de la Cueva began establishing missions in Mainas (or Maynas). These missions are now known as the Mainas missions after the Maina people, many of whom lived on the banks of the Marañón river, around the Pongo de Manseriche region, in close proximity to the Spanish settlement of Borja. In 1639, the Audiencia of Quito organized an expedition to renew its exploration of the Amazon river and the Quito Jesuit (Jesuita Quiteño) Father Cristobal de Acuña was a part of this expedition. The expedition disembarked from the Napo river February 16, 1639, and arrived in what is today Pará Brazil, on the banks of the Amazon river on December 12, 1639. In 1641, Father Cristobal de Acuña published in Madrid a memoire of his expedition to the Amazon river. The title of the memoire is called Nuevo Descubrimiento del gran rio de las Amazonas, and it was used by academics as a fundamental reference pertaining to the Amazon region. Between 1637 and 1652, there were 14 missions established along the Marañon river and its southern tributaries – the Huallaga and the Ucayali rivers. Jesuit Fathers de la Cueva and Raimundo de Santacruz opened up 2 new routes of communication with Quito, through the Pastaza and Napo rivers. Between 1637 and 1715, Samuel Fritz founded 38 missions along the length of the Amazon river, between the Napo and Negro rivers, that were called the Omagua Missions. These missions were continually attacked by the Brazilian Bandeirantes beginning in the year 1705. In 1768, the only Omagua mission that was left was San Joaquin de Omaguas, since it had been moved to a new location on the Napo river away from the Bandeirantes. In the immense territory of Mainas, also referred to as Maynas, the Jesuitas of Quito, made contact with a number of indigenous tribes which spoke 40 different languages, and founded a total of 173 Jesuit missions with a total population of 150,000 inhabitants. Because of the constant plague of epidemics (smallpox and measles) and warfare with other tribes and the Bandeirantes, the total number of Jesuit Missions were reduced to 40 by 1744. At the time when the Jesuits were expelled from Spanish America in 1767, the Jesuits of Quito registered 36 missions run by 25 Jesuits of Quito in the Audiencia of Quito – 6 Jesuits of Quito in the Napo Missions and Aguarico Missions, and 19 Jesuits of Quito in the Pastaza Missions and Iquitos Missions of Maynas with a total population of 20,000 inhabitants. Struggle for independence and birth of the republic The struggle for independence in the Quito Audiencia was part of a movement throughout Spanish America led by Criollos. The Criollos' resentment of the privileges enjoyed by the Peninsulares was the fuel of revolution against colonial rule. The spark was Napoleon's invasion of Spain, after which he deposed King Ferdinand VII and, in July 1808, placed his brother Joseph Bonaparte on the Spanish throne. Shortly afterward, Spanish citizens, unhappy at the usurpation of the throne by the French, began organizing local juntas loyal to Ferdinand. A group of Quito's leading citizens followed suit, and on August 10, 1809, they seized power in the name of Ferdinand from the local representatives, whom they accused of preparing to recognize Joseph Bonaparte. Thus, this early revolt against colonial rule (one of the first in Spanish America) was, paradoxically, an expression of loyalty to the Spanish king. It quickly became apparent that Quito's Criollo rebels lacked the anticipated popular support for their cause. As loyalist troops approached Quito, they peacefully turned power back to the crown authorities. Despite assurances against reprisals, the returning Spanish authorities proved to be merciless with the rebels and, in the process of ferreting out participants in the Quito revolt, jailed and abused many innocent citizens. Their actions, in turn, bred popular resentment among Quiteños, who, after several days of street fighting in August 1810, won an agreement to be governed by a junta composed with a majority of Criollos, although with the Peninsular president of the Royal Audience of Quito acting as its head. In spite of strong opposition from the Quito Audiencia, the Junta called for a congress in December 1811 and declared the entire area of the audiencia to be independent of any government currently in Spain. Two months later, the Junta approved a constitution for the state of Quito that provided for democratic governing institutions but also granted recognition to the authority of Ferdinand should he return to the Spanish throne. Shortly thereafter, the Junta elected to launch a military offensive against loyalist regions to the south in Peru, but the poorly trained and badly equipped troops were no match for those of the Viceroy of Peru, which finally crushed the Quiteño rebellion in December 1812. Gran Colombia The second chapter in Ecuador's struggle for emancipation from Spanish colonial rule began in Guayaquil, where independence was proclaimed in October 1820 by a local patriotic junta under the leadership of the poet José Joaquín de Olmedo. By this time, the forces of independence had grown continental in scope and were organized into two principal armies, one under the Venezuelan Simón Bolívar in the north and the other under the Argentine José de San Martín in the south. Unlike the hapless Quito junta of a decade earlier, the Guayaquil patriots were able to appeal to foreign allies, Argentina and Gran Colombia, each of whom soon responded by sending sizable contingents to Ecuador. Antonio José de Sucre, the brilliant young lieutenant of Bolívar who arrived in Guayaquil in May 1821, was to become the key figure in the ensuing military struggle against the royalist forces. After a number of initial successes, Sucre's army was defeated at Ambato in the central Sierra and he appealed for assistance from San Martín, whose army was by now in Peru. With the arrival from the south of 1,400 fresh soldiers under the command of Andrés de Santa Cruz Calahumana, the fortunes of the patriotic army were again reversed. A string of victories culminated in the decisive Battle of Pichincha. Two months later Bolívar, the liberator of northern South America, entered Quito to a hero's welcome. Later that July, he met San Martín at the Guayaquil conference and convinced the Argentine general, who wanted the port to return to Peruvian jurisdiction, and the local Criollo elite in both major cities of the advantage of having the former Quito Audiencia join with the liberated lands to the north. As a result, Ecuador became the District of the South within the Republic of Gran Colombia, which also included present-day Venezuela and Colombia and had Bogotá as its capital. This status was maintained for eight tumultuous years. These were years in which warfare dominated the affairs of Ecuador. First, the country found itself on the front lines of Gran Colombia's efforts to liberate Peru from Spanish rule between 1822 and 1825; afterward, in 1828 and 1829, Ecuador was in the middle of an armed struggle between Peru and Gran Colombia over the location of their common border. After a campaign that included the near destruction of Guayaquil, the forces of Gran Colombia, under the leadership of Sucre and Venezuelan General Juan José Flores, proved victorious. The Treaty of 1829 fixed the border on the line that had divided the Quito audiencia and the Viceroyalty of Peru before independence. The population of Ecuador was divided during these years among three segments: those favoring the status quo, those supporting union with Peru, and those advocating independence for the former audiencia. The latter group was to prevail following Venezuela's withdrawal from Gran Colombia at the very moment that an 1830 constitutional congress had been called in an ultimately futile effort to stem the growing separatist tendencies throughout country. In May of that year, a group of Quito notables met to dissolve the union with Gran Colombia, and in August, a constituent assembly drew up a constitution for the State of Ecuador, so named for its geographic proximity to the equator, and placed General Flores in charge of political and military affairs. He remained the dominant political figure during Ecuador's first 15 years of independence. Republic of Ecuador The early republic Before the year 1830 drew to a close, both Marshal Sucre and Simón Bolívar would be dead, the former murdered (on orders from a jealous General Flores, according to some historians) and the latter from tuberculosis. Juan José Flores, known as the founder of the republic, was of the foreign military variety. Born in Venezuela, he had fought in the wars for independence with Bolívar, who had appointed him governor of Ecuador during its association with Gran Colombia. As a leader, however, he appeared primarily interested in maintaining his power. Military expenditures, from the independence wars and from an unsuccessful campaign to wrest Cauca Province from Colombia in 1832, kept the state treasury empty while other matters were left unattended. That same year, Ecuador annexed the Galapagos Islands. Discontent had become nationwide by 1845, when an insurrection in Guayaquil forced Flores from the country. Because their movement triumphed in March (marzo), the anti-Flores coalition members became known as marcistas. They were an extremely heterogeneous lot that included liberal intellectuals, conservative clergymen, and representatives from Guayaquil's successful business community. The next fifteen years constituted one of the most turbulent periods in Ecuador's century and a half as a nation. The marcistas fought among themselves almost ceaselessly and also had to struggle against Flores's repeated attempts from exile to overthrow the government. The most significant figure of the era, however, was General José María Urbina, who first came to power in 1851 through a coup d'état, remained in the presidency until 1856, and then continued to dominate the political scene until 1860. During this decade and the one that followed, Urbina and his archrival, García Moreno, would define the dichotomy — between Liberals from Guayaquil and Conservatives from Quito — that remained the major sphere of political struggle in Ecuador until the 1980s. By 1859 — known by Ecuadorian historians as "the Terrible Year" — the nation was on the brink of anarchy. Local caudillos had declared several regions autonomous of the central government, known as Jefaturas Supremas. One of these caudillos, Guayaquil's Guillermo Franco, signed the Treaty of Mapasingue, ceding the southern provinces of Ecuador to an occupying Peruvian army led by General Ramón Castilla. This action was outrageous enough to unite some previously disparate elements. García Moreno, putting aside both his project to place Ecuador under a French protectorate and his differences with General Flores, got together with the former dictator to put down the various local rebellions and force out the Peruvians. The final push of this effort was the defeat of Franco's Peruvian-backed forces at the Battle of Guayaquil, which led to the overturning of the Treaty of Mapasingue. This opened the last chapter of Flores's long career and marked the entrance to the power of García Moreno. The era of conservatism (1860–1895) Gabriel García Moreno was a leading figure of Ecuadorian conservatism. Shortly after the onset of his third presidential term in 1875, García Moreno was attacked with a machete on the steps of the presidential palace by Faustino Lemos Rayo, a Colombian. As he was dying, García Moreno took out his gun and shot Faustino Lemos, while he said "Dios no muere" ("God doesn't die"). The dictator's most outstanding critic was the liberal journalist, Juan Montalvo, who exclaimed, "My pen killed him!" Between 1852 and 1890, Ecuador's exports grew in value from slightly more than US$1 million to nearly US$10 million. Production of cacao, the most important export product in the late 19th century, grew from 6.5 million kilograms (14 million pounds) to 18 million kilograms (40 million pounds) during the same period. The agricultural export interests, centered in the coastal region near Guayaquil, became closely associated with the Liberals, whose political power also grew steadily during the interval. After the death of García Moreno, it took the Liberals twenty years to consolidate their strength sufficiently to assume control of the government in Quito. The liberal era (1895–1925) The new era brought in liberalism. Eloy Alfaro, under whose direction the government headed out to aid those in the rural sectors of the coast, is credited for finishing the construction of the railroad connecting Guayaquil and Quito, the separation of church and state, establishment of many public schools, implementing civil rights (such as freedom of speech), and the legalization of civil marriages and divorce. Alfaro was also confronted by a dissident tendency inside his own party, directed by its General Leonidas Plaza and constituted by the upper middle class of Guayaquil. His death was followed by economic liberalism (1912–25), when banks were allowed to acquire almost complete control of the country. Popular unrest, together with the ongoing economic crisis and a sickly president, laid the background for a bloodless coup d'état in July 1925. Unlike all previous forays by the military into Ecuadorian politics, the coup of 1925 was made in the name of a collective grouping rather than a particular caudillo. The members of the League of Young Officers came to power with an agenda, which included a wide variety of social reforms, deal with the failing economy, establish the Central Bank as the unique authorized bank to distribute currency, create a new system of budget and customs. Early 20th century Much of the 20th century was dominated by José María Velasco Ibarra, whose five presidential terms began with a mandate in 1934 and final presidency ending in 1972. However, the only term he actually completed was his third from 1952 to 1956. Much of the century was also dominated by the territorial dispute between Peru and Ecuador. In 1941 Ecuador invaded Peruvian territory, and the Peruvians counterattacked and forced them to retreat into their own territory. At that time Ecuador was immersed in internal political fights and was not well equipped to win its offensive war. With the world at war, Ecuador attempted to settle the matter by means of a third-party settlement. In Brazil the two countries' negotiations were overseen by four "Guarantor" states (Argentina, Brazil, Chile, and the United States — four of the most powerful countries in the region). The resulting treaty is known as the Rio Protocol. The protocol became the focus of a surge of Ecuadorian national pride and concomitant opposition, which resulted in an uprising and overthrow of the government. The postwar era (1944–1948) The Quiteño multitudes stood in the pouring rain on May 31, 1944, to hear Velasco promise a "national resurrection", with social justice and due punishment for the "corrupt Liberal oligarchy" that had been responsible for "staining the national honor", believed that they were witnessing the birth of a popular revolution. Arroyo partisans were promptly jailed or sent into exile, while Velasco verbally baited the business community and the rest of the political right. The leftist elements within Velasco's Democratic Alliance, which dominated the constituent assembly that was convened to write a new constitution, were nonetheless destined to be disappointed. In May 1945, after a year of growing hostility between the president and the assembly, which was vainly awaiting deeds to substantiate Velasco's rhetorical advocacy of social justice, the mercurial chief executive condemned and then repudiated the newly completed constitution. After dismissing the assembly, Velasco held elections for a new assembly, which in 1946 drafted a far more conservative constitution that met with the president's approval. For this brief period, Conservatives replaced the left as Velasco's base of support. Rather than attending to the nation's economic problems, however, Velasco aggravated them by financing the dubious schemes of his associates. Inflation continued unabated, as did its negative impact on the national standard of living, and by 1947 foreign exchange reserves had fallen to dangerously low levels. In August, when Velasco was ousted by his minister of defense, nobody rose to defend the man who, only three years earlier, had been hailed as the nation's savior. During the following year, three different men briefly held executive power before Galo Plaza Lasso, running under a coalition of independent Liberals and socialists, narrowly defeated his Conservative opponent in presidential elections. His inauguration in September 1948 initiated what was to become the longest period of constitutional rule since the 1912–24 heyday of the Liberal plutocracy. Constitutional rule (1947–1960) Galo Plaza differed from previous Ecuadorian presidents by bringing a developmentalist and technocratic emphasis to Ecuadorian government. No doubt Galo Plaza's most important contribution to Ecuadorian political culture was his commitment to the principles and practices of democracy. As president he promoted the agricultural exports of Ecuador, creating economic stability. During his presidency, an earthquake near Ambato severely damaged the city and surrounding areas and killed approximately 8,000 people. Unable to succeed himself, he left his office in 1952 as the first president in 28 years to complete his term in office. A proof of the politically stabilizing effect of the banana boom of the 1950s is that even Velasco, who in 1952 was elected president for the third time, managed to serve out a full four-year term. Velasco's fourth term in the presidency initiated a renewal of crisis, instability, and military domination and ended conjecture that the political system had matured or developed in a democratic mold. Instability and military governments (1960–1979) In 1963, the army overthrew President Carlos Julio Arosemena Monroy, falsely accusing him of "sympathizing with communism". According to former CIA agent Philip Agee, who served several years in Ecuador, the United States incited this coup d'état to eliminate a government that refused to break with Cuba. Return to democratic rule (1979–1984) Jaime Roldós Aguilera, democratically elected in 1979, presided over a nation that had undergone profound changes during the seventeen years of military rule. There were impressive indicators of economic growth between 1972 and 1979: The government budget expanded some 540 percent, whereas exports as well as per capita income increased a full 500 percent. Industrial development had also progressed, stimulated by the new oil wealth as well as Ecuador's preferential treatment under the provisions of the Andean Common Market (AnCoM, also known as the Andean Pact). Roldós was killed, along with his wife and the minister of defense, in an airplane crash in the southern province of Loja on May 24, 1981. The death of Roldós generated intense popular speculation. Some Ecuadorian nationalists attributed it to the Peruvian government because the crash took place near the border where the two nations had participated in a Paquisha War in their perpetual border dispute. Many of the nation's leftists, pointing to a similar crash that had killed Panamanian President Omar Torrijos Herrera less than three months later, blamed the United States government. Roldós's constitutional successor, Osvaldo Hurtado, immediately faced an economic crisis brought on by the sudden end of the petroleum boom. Massive foreign borrowing, initiated during the years of the second military regime and continued under Roldós, resulted in a foreign debt that by 1983 was nearly US$7 billion. The nation's petroleum reserves declined sharply during the early 1980s because of exploration failures and rapidly increasing domestic consumption. The economic crisis was aggravated in 1982 and 1983 by drastic climatic changes, bringing severe drought as well as flooding, precipitated by the appearance of the unusually warm ocean current known as "El Niño". Analysts estimated damage to the nation's infrastructure at US$640 million, with balance-of-payments losses of some US$300 million. The real gross domestic product fell to 2% in 1982 and to −3.3% in 1983. The rate of inflation in 1983, 52.5%, was the highest ever recorded in the nation's history. Outside observers noted that, however unpopular, Hurtado deserved credit for keeping Ecuador in good standing with the international financial community and for consolidating Ecuador's democratic political system under extremely difficult conditions. As León Febres Cordero entered office on August 10, there was no end in sight to the economic crisis nor to the intense struggle that characterized the political process in Ecuador. During the first years of the Rivadeneira administration, Febres-Cordero introduced free-market economic policies, took a strong stand against drug trafficking and terrorism, and pursued close relations with the United States. His tenure was marred by bitter wrangling with other branches of Government and his own brief kidnapping by elements of the military. A devastating earthquake in March 1987 interrupted oil exports and worsened the country's economic problems. Rodrigo Borja Cevallos of the Democratic Left (ID) party won the presidency in 1988, running in the runoff election against Abdalá Bucaram of the PRE. His government was committed to improving human rights protection and carried out some reforms, notably an opening of Ecuador to foreign trade. The Borja government concluded an accord leading to the disbanding of the small terrorist group "¡Alfaro Vive, Carajo!" ("Alfaro Lives, Dammit!"), named after Eloy Alfaro. However, continuing economic problems undermined the popularity of the ID, and opposition parties gained control of Congress in 1990. Economic crisis (1990–2000) In 1992, Sixto Durán Ballén won his third run for the presidency. His tough macroeconomic adjustment measures were unpopular, but he succeeded in pushing a limited number of modernization initiatives through Congress. Durán Ballén's vice president, Alberto Dahik, was the architect of the administration's economic policies, but in 1995, Dahik fled the country to avoid prosecution on corruption charges following a heated political battle with the opposition. A war with Peru (named the Cenepa War, after a river located in the area) erupted in January–February 1995 in a small, remote region, where the boundary prescribed by the 1942 Rio Protocol was in dispute. The Durán-Ballén Administration can be credited with beginning the negotiations that would end in a final settlement of the territorial dispute. In 1996, Abdalá Bucaram, from the populist Ecuadorian Roldosista Party, won the presidency on a platform that promised populist economic and social reforms. Almost from the start, Bucaram's administration languished amidst widespread allegations of corruption. Empowered by the president's unpopularity with organized labor, business, and professional organizations alike, Congress unseated Bucaram in February 1997 on grounds of mental incompetence. The Congress replaced Bucaram with Interim President Fabián Alarcón. In May 1997, following the demonstrations that led to the ousting of Bucaram and appointment of Alarcón, the people of Ecuador called for a National Assembly to reform the Constitution and the country's political structure. After a little more than a year, the National Assembly produced a new Constitution. Congressional and first-round presidential elections were held on May 31, 1998. No presidential candidate obtained a majority, so a run-off election between the top two candidates – Quito Mayor Jamil Mahuad of the DP and Social Christian Álvaro Noboa Pontón – was held on July 12, 1998. Mahuad won by a narrow margin. He took office on August 10, 1998. On the same day, Ecuador's new constitution came into effect. In July 1998, Christian Democrat Jamil Mahuad (who was the former mayor of Quito) was elected president. It is facing a difficult economic situation, linked in particular to the Asian crisis. The currency is devalued by 15%, fuel and electricity prices increase fivefold, and public transport prices increase by 40%. The government is preparing to privatize several key sectors of the economy: oil, electricity, telecommunications, ports, airports, railways and post office. The repression of a first general strike caused three deaths. The social situation is critical: more than half of the population is unemployed, 60% live below the extreme poverty line, public employees have not been paid for three months. A further increase in VAT, combined with the abolition of subsidies for domestic gas, electricity and diesel, triggers a new social movement. In the provinces of Latacunga, the army shoots the indigenous people who cut the Pan-American Highway, injuring 17 people with bullets. The coup de grâce for Mahuad's administration was Mahuad's decision to make the local currency, the sucre (named after Antonio José de Sucre), obsolete and replace it with the U.S. dollar (a policy called dollarization). This caused massive unrest as the lower classes struggled to convert their now useless sucres to US dollars and lost wealth, while the upper classes (whose members already had their wealth invested in US dollars) gained wealth in turn. Under Mahuad's recession-plagued term, the economy shrank significantly, and inflation reached levels of up to 60 percent. In addition, corruption scandals are a source of public concern. Former Vice President Alberto Dahik, architect of the neoliberal economic programme, is fleeing abroad after being indicted for "questionable use of reserved funds". Former President Fabián Alarcón is arrested on charges of covering more than a thousand fictitious jobs. President Mahuad is implicated for receiving money from drug trafficking during his election campaign. Several major bankers are also cited in cases. Mahuad concluded a well-received peace with Peru on October 26, 1998. Ecuador since 2000 On January 21, 2000, during demonstrations in Quito by indigenous groups, the military and police refused to enforce public order, beginning what became known as the 2000 Ecuadorean coup d'état. Demonstrators entered the National Assembly building and declared, in a move that resembled the coups d'état endemic to Ecuadorean history, a three-person junta in charge of the country. Field-grade military officers declared their support for the concept. During a night of confusion and failed negotiations, President Mahuad was forced to flee the presidential palace for his own safety. Vice President Gustavo Noboa took charge by vice-presidential decree; Mahuad went on national television in the morning to endorse Noboa as his successor. The military triumvirate that was effectively running the country also endorsed Noboa. The Ecuadorean Congress then met in an emergency session in Guayaquil on the same day, January 22, and ratified Noboa as President of the Republic in constitutional succession to Mahuad. Although Ecuador began to improve economically in the following months, the government of Noboa came under heavy fire for the continuation of the dollarization policy, its disregard for social problems, and other important issues in Ecuadorean politics. Retired Colonel Lucio Gutiérrez, a member of the military junta that overthrew Mahuad, was elected president in 2002 and assumed the presidency on January 15, 2003. Gutierrez's Patriotic Society Party had a small fraction of the seats in Congress and therefore depended on the support of other parties in Congress to pass legislation. In December 2004, Gutiérrez unconstitutionally dissolved the Supreme Court and appointed new judges to it. This move was generally seen as a kickback to deposed ex-President Abdalá Bucaram, whose political party had sided with Gutiérrez and helped derail attempts to impeach him in late 2004. The new Supreme Court dropped charges of corruption pending against the exiled Bucaram, who soon returned to the politically unstable country. The corruption evident in these maneuvers finally led Quito's middle classes to seek the ousting of Gutiérrez in early 2005. In April 2005, the Ecuadorian Armed Forces declared that it "withdrew its support" for the President. After weeks of public protests, Gutiérrez was overthrown in April. Vice President Alfredo Palacio assumed the Presidency and vowed to complete the term of office and hold elections in 2006. On January 15, 2007, the social democrat Rafael Correa succeeded Palacio as President of Ecuador, with the promise of summoning a constituent assembly and bringing focus on poverty. The 2007-8 Ecuadorian Constituent Assembly drafted the 2008 Constitution of Ecuador, approved via the Ecuadorian constitutional referendum, 2008. In November 2009, Ecuador faced an energy crisis that led to power rationing across the country. Between 2006 and 2016, poverty decreased from 36.7% to 22.5% and annual per capita GDP growth was 1.5 percent (as compared to 0.6 percent over the prior two decades). At the same time, inequalities, as measured by the Gini index, decreased from 0.55 to 0.47. Beginning in 2007, President Rafael Correa established The Citizens' Revolution, a movement following left-wing policies, which some sources describe as populist. Correa was able to utilize the 2000s commodities boom to fund his policies, utilizing China's need for raw materials. Through China, Correa accepted loans that had few requirements, as opposed to firm limits set by other lenders. With this funding, Ecuador was able to invest in social welfare programs, reduce poverty and increase the average standard of living in Ecuador, while at the same time growing Ecuador's economy. Such policies resulted in a popular base of support for Correa, who was re-elected to the presidency three times between 2007 and 2013. Media coverage in the United States viewed Correa's strong popular support and efforts to re-found the Ecuadorian State as an entrenchment of power. As the Ecuadorian economy began to decline in 2014, Correa decided not to run for a fourth term and by 2015, protests occurred against Correa following the introduction of austerity measures and an increase of inheritance taxes. Instead, Lenín Moreno, who was at the time a staunch Correa loyalist and had served as his vice-president for over six years, was expected to continue with Correa's legacy and the implementation of 21st century socialism in the country, running on a broadly left-wing platform with significant similarities to Correa's. In the weeks after his election, Moreno distanced himself from Correa's policies and shifted the left-wing PAIS Alliance's away from the left-wing politics and towards the neoliberal governance. Despite these policy shifts, Moreno continued to identify himself as social democrat. Moreno then led the 2018 Ecuadorian referendum, which reinstated presidential term limits that were removed by Correa, barring Correa from running for a fourth presidential term in the future. At his election, Moreno enjoyed an approval rating of 79 percent. Moreno's distancing from his predecessor's policies and his electoral campaign's platform, however, alienated both former President Correa and a large percentage of his own party's supporters. In July 2018, a warrant for Correa's arrest was issued after facing 29 charges for alleged corruption acts performed while he was in office. Due to increased borrowing by Correa's administration, which he had used to fund social welfare projects, as well as the 2010s oil glut, public debt tripled in a five-year period, with Ecuador eventually coming to use of the Central Bank of Ecuador's reserves for funds. In total, Ecuador was left $64 billion in debt and was losing $10 billion annually. On 21 August 2018, Moreno announced economic austerity measures to reduce public spending and deficit. Moreno stated that the measures aimed to save $1 billion and included a reduction of fuel subsidies, eliminating subsidies for gasoline and diesel, and the removal or merging of several public entities, a move denounced by the groups representing the nation's indigenous groups and trade unions. In August 2018, Ecuador withdrew from Bolivarian Alliance for the Peoples of Our America (Alba), a regional bloc of leftwing governments led by Venezuela. In October 2018, the government of President Lenin Moreno cut diplomatic relations with the Nicolás Maduro regime of Venezuela, a close ally of Rafael Correa. In March 2019, Ecuador withdrew from Union of South American Nations. Ecuador was an original member of the block, founded by left-wing governments in Latin America and the Caribbean in 2008. Ecuador also asked UNASUR to return the headquarters building of the organization, based in its capital city, Quito. In June 2019, Ecuador agreed to allow US military planes to operate from an airport on the Galapagos Islands. On 1 October 2019, Lenín Moreno announced a package of economic measures as part of a deal with the International Monetary Fund (IMF) to obtain in credit. These measures became known as "el paquetazo" and they included the end of fuel subsidies, removal of some import tariffs and cuts in public worker benefits and wages. This caused mass protests which began on 3 October 2019. On 8 October, President Moreno relocated his government to the coastal city of Guayaquil after anti-government protesters had overrun Quito, including the Carondelet Palace. On the same day, Moreno accused his predecessor Rafael Correa of orchestrating a coup against the government with the aid of Venezuela's Nicolás Maduro, a charge which Correa denied. Later that day, the authorities shut down oil production at the Sacha oil field, which produces 10% of the nation's oil, after it was occupied by protesters. Two more oil fields were captured by protesters shortly thereafter. Demonstrators also captured repeater antennas, forcing State TV and radio offline in parts of the country. Indigenous protesters blocked most of Ecuador's main roads, completely cutting the transport routes to the city of Cuenca. On 9 October, protesters managed to briefly burst into and occupy the National Assembly, before being driven out by police using tear gas. Violent clashes erupted between demonstrators and police forces as the protests spread further. During the late-night hours of 13 October, the Ecuadorian government and CONAIE reached an agreement during a televised negotiation. Both parties agreed to collaborate on new economic measures to combat overspending and debt. The government agreed to end the austerity measures at the center of the controversy and the protesters in turn agreed to end the two-week-long series of demonstrations. President Moreno agreed to withdraw Decree 883, an IMF-backed plan that caused a significant rise in fuel costs. The relations with the United States improved significantly during the presidency of Lenin Moreno. In February 2020, his visit to Washington was the first meeting between an Ecuadorian and U.S. president in 17 years. The 11 April 2021 election run-off vote ended in a win for conservative former banker, Guillermo Lasso, taking 52.4% of the vote compared to 47.6% of left-wing economist Andrés Arauz, supported by exiled former president, Rafael Correa. Previously, President-elect Lasso finished second in the 2013 and 2017 presidential elections. On 24 May 2021, Guillermo Lasso was sworn in as the new President of Ecuador, becoming the country's first right-wing leader in 14 years. See also 1830 Constitution of Ecuador 2008 Constitution of Ecuador Economic history of Ecuador History of Latin America History of South America History of the Americas Military history of Ecuador Politics of Ecuador President of Ecuador Spanish colonization of the Americas References Further reading Andrien, Kenneth. The Kingdom of Quito, 16990-1830: The State and Regional Development. New York: Cambridge University Press 1995. Clayton, Lawrence A. Caulkers and Carpenters in a New World: The Shipyards of Colonial Guayaquil. Ohio University Press 1980. Gauderman, Kimberly. Women's Lives in Colonial Quito: Gender, Law, and Economy in Spanish America. Austin: University of Texas Press 2003. Lane, Kris. Quito 1599: City and Colony in Transition. Albuquerque: University of New Mexico Press 2002. Milton, Cynthia E. The Many Meanings of Poverty: Colonialism, Social Compacts, and Assistance in Eighteenth-Century Ecuador. Stanford: Stanford University Press 2007. Minchom, Martin. The People of Quito, 1690–1810: Change and Unrest in the Underclass. Boulder: Westview Press 1994. Phelan, John Leddy, The Kingdom of Quito in the Seventeenth-Century. Madison: University of Wisconsin Press 1967, External links U.S. State Department Background Note: Ecuador Archaeology of Ecuador Museum and Virtual Library (Museums of Central Bank of Ecuador) english
9354
https://en.wikipedia.org/wiki/Egyptian%20Armed%20Forces
Egyptian Armed Forces
The Egyptian Armed Forces () are the state military organisation responsible for the defense of the Arab Republic of Egypt. They consist of the Egyptian Army, Egyptian Navy, Egyptian Air Force and Egyptian Air Defense Forces. The President of the Republic serves as Supreme Commander of the Armed Forces. The Minister of Defense and Commander-in-Chief of the Armed Forces, the senior uniformed officer, is Colonel General Mohamed Zaki (since June 2018), and the Chief of Staff is Lieutenant General Osama Askar (since October 2021). Senior members of the military can convene the Supreme Council of the Armed Forces, such as during the course of the Egyptian Revolution of 2011, when President Mubarak resigned and transferred power to this body on February 11, 2011. The armament of the Egyptian armed forces varies between eastern and western sources through weapons deliveries by several countries, led by the United States, Russia, France, China, Italy, Ukraine and Britain. Many of the equipment is manufactured locally at Egyptian factories. The Egyptian armed forces celebrate their anniversary on October 6 each year to commemorate the Crossing of the Suez during the October War of 1973. The modern Egyptian armed forces have been involved in numerous crises and wars since independence, from the 1948 Arab–Israeli War, Egyptian Revolution of 1952, Suez Crisis, North Yemen Civil War, Six-Day War, Nigerian Civil War, War of Attrition, Yom Kippur War, Egyptian bread riots, 1986 Egyptian conscripts riot, Egyptian-Libyan War, Gulf War, War on Terror, Egyptian Crisis, Second Libyan Civil War, War on ISIL and the Sinai insurgency. History In the early 1950s, politics rather than military competence was the main criterion for promotion. The Egyptian commander, Field Marshal Abdel Hakim Amer, was a purely political appointee who owed his position to his close friendship with Nasser. He would prove himself grossly incompetent as a general during the Suez Crisis. Rigid lines between officers and men in the Egyptian Army led to a mutual "mistrust and contempt" between officers and the men who served under them. Tsouras writes that the Israelis "seized and held the ..initiative throughout the campaign and quickly destroyed the Egyptian defenses." In a few instances, such as at the Mitla Pass and Abu Agelia, Egyptian defenses were well-organised and stubbornly held, but this did not make enough difference overall. Nasser ordered a retreat from the Sinai which allowed the Israelis to wreak havoc and drive on the Canal; on 5 November, British and French parachute landings began in the Canal Zone but by 7 November, U.S. pressure had forced an end to the fighting. The Egyptian Armed Forces suffered a catastrophic defeat in their intervention in the North Yemen Civil War in what was dubbed as "Egypt's Vietnam" which contributed to their withering defeat in the Six-day war against Israel. At the peak of deployments, there were 70,000 Egyptian soldiers in Yemen. At the end of the war, Yemen remained a republic but at the cost of more than 10,000 Egyptian soldiers. As The New Republic explained in 1963: "In this terrain, the slow-moving Nile peasant has proved a poor match for the barefoot, elusive tribesmen armed only with rifle and jambiya -- the vast, curved, razor-sharp dagger which every male Yemeni wears in his belt." Before the June 1967 War, the army divided its personnel into four regional commands (Suez, Sinai, Nile Delta, and Nile Valley up to the Sudan). The remainder of Egypt's territory, over 75%, was the sole responsibility of the Frontier Corps. In May 1967, President Nasser closed the Straits of Tiran to passage of Israeli ships. Israel considered the closure of the straits grounds for war and prepared their armed forces to attack. On June 3, three battalions of Egyptian commandos were flown to Amman to take part in operations from Jordan. But U.S. historian Trevor N. Dupuy, writing in 1978, argues from King Hussein of Jordan's memoirs that Nasser did not intend to start an immediate war, but instead was happy with his rhetorical and political accomplishments of the past weeks. Nevertheless, Israel felt it needed to take action. The Egyptian army, comprising two armored and five infantry divisions, were deployed in the Sinai. In the weeks before the Six-Day War began, Egypt made several significant changes to its military organisation; Field Marshal Amer created a new command interposed between the general staff and the Eastern Military District commander, Lieutenant General Salah ad-Din Muhsin. This new Sinai Front Command was placed under General Abdel Mohsin Murtagi, who had returned from Yemen in May 1967. Six of the seven divisions in the Sinai (with the exception of the 20th Infantry 'Palestinian' Division) had their commanders and chiefs of staff replaced. What fragmentary information is available suggests to authors such as Pollack that Amer was trying to improve the competence of the force, replacing political appointees with veterans of the Yemen war. After the war began on 5 June 1967, Israel attacked Egypt, destroyed its air force on the ground, and occupied the Sinai Peninsula. The forward deployed Egyptian forces were shattered in three places by the attacking Israelis. Field Marshal Amer, overwhelmed by events, and ignoring previous plans, ordered a retreat by the Egyptian Army to the Suez Canal. This developed into a rout as the Israelis harried the retreating troops from the ground and from the air. In July 1972, President Anwar Sadat expelled Soviet Armed Forces advisors from Egypt. The Soviet advisors had significant access and influence previously. When the Yom Kippur War began in October 1973, the Egyptians were initially successful in crossing the Suez Canal and establishing a bridgehead on the eastern bank. In the costly and brutal Battle of the Chinese Farm, the Israeli Defence Force shouldered aside portions of the Second Army on the eastern bank, then crossed the canal and rapidly advanced, destroying surface-to-air missile sites and then cutting off the Third Army. However, according to the Israeli general David Elazar, the Egyptian 2nd army completely stopped him in Ismailia, and pushed his forces away from Ismailia city. Even though the third army was encircled, it resisted harshly, and managed to advance in occupying a bigger land than he did before in the east. Peace was only imposed after the United States and Soviet Union stepped in. When Sadat and the Israelis made peace in the Camp David Accords of September 1978, part of the quid pro quo for the Egyptians accepting peace was that the U.S. would provide substantial military assistance to Egypt. Today the U.S. provides annual military assistance often quoted at some nominal $1.3 billion to the Egyptian armed forces ($ billion in ). This level is second only to Israel. Scholars such as Kenneth Pollack, DeAtkine, and Robert Springborg have identified a number of reasons why Arab (and Egyptian) armies performed so poorly against Israel from 1948 to the 1970s and afterwards; In battle against Israel from 1948, junior officers consistently demonstrated an unwillingness to manoeuvre, innovate, improvise, take initiative, or act independently. Ground forces units suffered from constant manipulation of information and an inattention to intelligence gathering and objective analysis. Units from the two divisions dispatched to Saudi Arabia in 1990–91, accompanied by U.S. personnel during the 1991 Gulf War, consistently reported fierce battles even though they actually encountered little or no resistance. This occurred whether or not they were accompanied by U.S. military personnel or journalists. Later researchers such as Springborg have confirmed that the tendencies identified in the 1980s and 1990s persist in the Armed Forces in the twenty-first century. Egypt is a participant in NATO's Mediterranean Dialogue forum. Twenty-first century In the second decade of the 21st century, the Armed Forces enjoy considerable power and independence within the Egyptian state. They are also influential in business, engaging in road and housing construction, consumer goods, resort management, and own vast tracts of real estate. A significant amount of military information is not made publicly available, including budget information, the names of the general officers and the military's size (which is considered a state secret). According to journalist Joshua Hammer, "as much as 40% of the Egyptian economy" is controlled by the Egyptian armed forces, and other authoritative works such as Springborg reinforce this trend. On 31 January 2011, during the Egyptian revolution of 2011, Israeli media reported that the 9th, 2nd, and 7th Divisions of the Army had been ordered into Cairo to help restore order. On 3 July 2013, the Egyptian Armed Forces launched a coup d'état against the elected government of Mohamed Morsi following mass protests demanding his resignation. On 8 July 2013, clashes between the Republican Guard and pro-Morsi supporters left 61 protestors killed. On 14 August 2013, the Egyptian Army along with the police carried out the Rabaa massacre, killing 2,600 people. The total casualty count made 14 August the deadliest day in Egypt since the Egyptian revolution of 2011 which had toppled former President Hosni Mubarak. Several world leaders denounced the violence during the sit-in dispersals. On March 25, 2020, it was reported that two army generals, Shafea Dawoud and Khaled Shaltout, had died from the COVID-19 pandemic in Egypt, and at least 550 officers and soldiers had been infected with the virus. In March 2021, Human Rights Watch accused the EAF of violating international human rights law and committing war crimes by demolishing more than 12,300 residential and commercial buildings and 6,000 hectares of farmland since 2013 in North Sinai. Structure The Supreme Commander-in-Chief is the President of the Republic, Abdel Fattah el-Sisi, a former Army officer (as have been most presidents of Egypt). All branches, forces, armies, regions, bodies, organs and departments of the Armed Forces are under the command of the Commander-in-Chief of the Armed Forces, who is at the same time the Minister of Defense. The Supreme Council of the Armed Forces (SCA) is composed of 23 members, chaired by the Commander-in-Chief and Minister of Defense, and is represented by the Chief of Staff of the Armed Forces. Commanders of military areas (central, northern, western, southern), heads of bodies (operations, armament, logistics, engineering, training, finance, military justice, Armed Forces Management and Administration), directors of many departments (officers and Military Intelligence and Reconnaissance), and assistant secretary of defense for constitutional and legal affairs. The Secretary of the Board is the Secretary General of the Ministry of Defense. Army Conscripts for the Egyptian Army and other service branches without a university degree serve three years as enlisted soldiers. Conscripts with a General Secondary School Degree serve two years as enlisted personnel. Conscripts with a university degree serve one year as enlisted personnel or three years as a reserve officer. Officers for the army are trained at the Egyptian Military Academy. The IISS estimated in 2020 that the Army numbered 90-120,000, with 190-220,000 conscripts, a total of 310,000. Air Force The Egyptian Air Force (EAF) is the aviation branch of the Egyptian Armed Forces. Currently, the backbone of the EAF is the General Dynamics F-16 Fighting Falcon. The Mirage 2000 is the other modern interceptor used by the EAF. The Egyptian Air Force has 216 F-16s (plus 20 on order). It has about 579 combat aircraft and 149 armed helicopters as it continues to fly extensively upgraded MiG-21s, F-7 Skybolts, F-4 Phantoms, Dassault Mirage Vs, and the C-130 Hercules among other planes. Egypt currently operates 24 Dassault Rafale, a French twin-engine fighter aircraft as of 2019. Air Defense Forces The Egyptian Air Defense Forces or ADF (Quwwat El Diffaa El Gawwi in Arabic) is Egypt's military command responsible for air defense. Egypt patterned its Air Defense Force (ADF) after the Soviet Air Defence Force, which integrated all its air defense capabilities – antiaircraft guns, rocket and missile units, interceptor planes, and radar and warning installations. It appears to comprise five subordinate divisions, 110 surface-to-air missile battalions, and 12 anti-aircraft artillery brigades. Personnel quality may be 'several notches below' that of the Air Force personnel. The IISS estimated in 2020 that personnel numbered 80,000 active and 70,000 reserve. Its commander is Lieutenant General Abd El Aziz Seif-Eldeen. Navy The Egyptian Navy existed thousands of years ago, specifically during the Early Dynastic period in 2800 BC. During the early modern era, in 1805, Muhammad Ali of Egypt became the Wali of the country forming his own autonomous rule over Egypt. To build the empire he always wished, he needed a strong military and so he managed to prepare that military starting with the army then the Navy. During his reign, the Navy already existed but it was only used for troop transportation. Its first engagement was during the Wahhabi War where it was used to transport troops from Egypt to Yanbu in Hejaz. Later in 1815, Muhammad Ali built Alexandria Shipyard to build warships not just transport ships. The Navy then participated in the Greek War of Independence where in 1827 it had over 100 warships and hundreds of transport ships. After the Second World War, some fleet units were stationed in the Red Sea, but the bulk of the force remained in the Mediterranean. Navy headquarters and the main operational and training base are located at Ras el Tin near Alexandria. The Navy also controls the Egyptian Coast Guard. The Coast Guard is responsible for the onshore protection of public installations near the coast and the patrol of coastal waters to prevent smuggling. The IISS Military Balance 2017 listed the Coast Guard with 2,000 personnel, 14 fast patrol boats (PBF) and 65 patrol boats (including 15 Swiftships, 21 Timsah, three Type-89 and nine Peterson-class. Other agencies The Armed Forces Medical Service Department provides many military health services. The Armed Forces College of Medicine in Heliopolis, Cairo, provides medical training. As of February 2020, the AFCM commandant was Maj. Gen. Dr. Amr Hegab. Egypt also maintains 397,000 paramilitary troops. The Central Security Forces comes under the control of the Ministry of Interior. As of 2017, the Egyptian Border Guard Corps falls under the control of the Ministry of Interior as well. Circa 2020, according to the IISS Military Balance 2020, they comprised an estimated 12,000, in 18 border regiments, with light weapons only (IISS 2020, p. 375). However, that listing of numbers has remained the same at least since the 2017 edition (p375). Military equipment and industry The inventory of the Egyptian armed forces includes equipment from the United States, France, Brazil, the United Kingdom, the Soviet Union, and the People's Republic of China. This wide range of sources can cause serviceability difficulties. Equipment from the Soviet Union is being progressively replaced by more modern U.S., French, and British equipment, a significant portion of which is built under license in Egypt, such as the M1A1 Abrams tank. Egypt is one of the few countries in the Middle East, and the only Arab state, with a reconnaissance satellite and has launched another one, EgyptSat 1 in 2007. The Arab Organization for Industrialization supervises nine military factories which produce civilian goods as well as military products. Initially, the owners of AOI were the governments of Egypt, Saudi Arabia, and the United Arab Emirates, before the latter governments gave their shares back to Egypt in 1993, valued at $1.8 billion. AOI is now entirely owned by the government of Egypt and has about 19,000 employees out of which 1250 are engineers. AOI fully owns 10 factories and shares in 2 joint ventures, plus the Arab Institute for Advanced Technology Military schools There is an undergraduate military school for each branch of the Egyptian Armed Forces, and they include: Commanders and Staff College Reserve Officer College supervised by General Gamal Elsabrouty Nasser Higher Military Academy Egyptian Military Academy Egyptian Air Defence Academy Egyptian Military Technical College Lieutenant-Colonel Elhamy A. Elsebaey, supervising the Egyptian GIS counter strike school Armed Forces Technical Institute Armed Forces Institute for NCOs Armed Forces Institute for Nursery Thunderbolt School Airborne School (Egypt) See also Flags of the Egyptian Armed Forces References Further reading Hazem Kandil, 'Soldiers, Spies, and Statesmen: Egypt's Road to Revolt,' Verso, 2012 Kenneth M. Pollack, Arabs at War: Military Effectiveness 1948-91, University of Nebraska Press, Lincoln and London, 2002, and Pollack's book reviewed in International Security, Vol. 28, No.2. Norvell deAtkine, 'Why Arabs Lose Wars,' Middle East Quarterly, 6(4). CMI Publications, "The Egyptian military in politics and the economy: Recent history and current transition status". www.cmi.no. Retrieved 2016-01-21. Maj Gen Mohammed Fawzy, The Three-Years War (in Arabic) H.Frisch, Guns and butter in the Egyptian Army, p. 6. Middle East Review of International Affairs, Vol. 5, No. 2 (Summer 2001). Ebtisam Hussein; Claudia De Martino, March 1, 2019 Dr Mohammed al-Jawadi, In Between the Catastrophe: Memoirs of Egyptian Military Commanders from 1967 to 1972 (in Arabic) Hazem Kandil, Soldiers, spies, and statesmen: Egypt's road to revolt. Verso Books, 2012. Maj Gen Abed al-Menahim Khalil, Egyptian Wars in Modern History (in Arabic) Andrew McGregor, A military history of modern Egypt: from the Ottoman Conquest to the Ramadan War, Greenwood Publishing Group, 2006 "The Egyptian Armed Forces and the Remaking of an Economic Empire". Carnegie Middle East Center. Retrieved 2016-01-21. Lt Gen Saad el-Shazly, The Crossing of the Suez Witty, David M. "A regular Army in counterinsurgency operations: Egypt in North Yemen, 1962-1967." The Journal of Military History 65, no. 2 (2001). Ferris, Jesse, Egypt, the Cold War, and the Civil War in Yemen, 1962–1966, Princeton University. ProQuest Dissertations Publishing, 2008. 3332407. External links Egyptian Armed Forces CIA World Factbook FAS GlobalSecurity Department of State, Academics see the military in decline, but retaining strong influence, 23 September 2009 (US Embassy Cables, The Guardian, 2011) Egypt’s Supreme Council of the Armed Forces, The New York Times, February 10, 2011 Egypt's military leadership, Aljazeera English, February 11, 2011 he:צבא מצרים
9356
https://en.wikipedia.org/wiki/El%20Salvador
El Salvador
El Salvador (; , meaning "The Saviour"), officially the Republic of El Salvador (), is a country in Central America. It is bordered on the northeast by Honduras, on the northwest by Guatemala, and on the south by the Pacific Ocean. El Salvador's capital and largest city is San Salvador. The country's population in 2021 is estimated to be 6.8 million. Among the Mesoamerican nations that historically controlled the region are the Lenca (after 600 AD), the Mayans, and then the Cuzcatlecs. Archaeological monuments also suggest an early Olmec presence around the first millennium BC. In the beginning of the 16th century, the Spanish Empire conquered the Central American territory, incorporating it into the Viceroyalty of New Spain ruled from Mexico City. However the Viceroyalty of Mexico had little to no influence in the daily affairs of the isthmus, which was colonized in 1524. In 1609, the area was declared the Captaincy General of Guatemala by the Spanish, which included the territory that would become El Salvador until its independence from Spain in 1821. It was forcefully incorporated into the First Mexican Empire, then seceded, joining the Federal Republic of Central America in 1823. When the federation dissolved in 1841, El Salvador became a sovereign state, then formed a short-lived union with Honduras and Nicaragua called the Greater Republic of Central America, which lasted from 1895 to 1898. From the late 19th to the mid-20th century, El Salvador endured chronic political and economic instability characterized by coups, revolts, and a succession of authoritarian rulers. Persistent socioeconomic inequality and civil unrest culminated in the Salvadoran Civil War from 1979 to 1992, fought between the military-led government backed by the United States, and a coalition of left-wing guerrilla groups. The conflict ended with the Chapultepec Peace Accords. This negotiated settlement established a multiparty constitutional republic, which remains in place to this day. While this Civil War was going on in the country large numbers of Salvadorans emigrated to the United States, and by 2008 they were one of the largest immigrant groups in the US. El Salvador's economy has historically been dominated by agriculture, beginning with the Spanish taking control of the indigenous cacao crop in the 16th century, with production centered in Izalco, and the use of balsam from the ranges of La Libertad and Ahuachapan. This was followed by a boom in use of the indigo plant (añil in Spanish) in the 19th century, mainly for its use as a dye. Thereafter the focus shifted to coffee, which by the early 20th century accounted for 90% of export earnings. El Salvador has since reduced its dependence on coffee and embarked on diversifying its economy by opening up trade and financial links and expanding the manufacturing sector. The colón, the currency of El Salvador since 1892, was replaced by the United States dollar in 2001. El Salvador ranks 124th among 189 countries in the Human Development Index. In addition to high rates of poverty and gang-related violent crime, El Salvador has the second-highest level of income inequality in Latin America. Among 77 countries included in a 2021 study, El Salvador was one of the least complex economies for doing business. Etymology Conquistador Pedro de Alvarado named the new province after Jesus Christ – San Salvador (lit. "Holy Savior"). The territory's name, including the province of San Miguel, was later extended to the (), shortened to the Republic of El Salvador, or Salvador, during the post-Federal Republic period and subsequently settled on as . History Prehistoric Tomayate is a palaeontological site located on the banks of the river of the same name in the municipality of Apopa. The site has produced abundant Salvadoran megafauna fossils belonging to the Pleistocene. The palaeontological site was discovered accidentally in 2000, and in the following year, an excavation by the Museum of Natural History of El Salvador revealed several remnants of Cuvieronius and 18 other species of vertebrates including giant tortoises, Megatherium, Glyptodon, Toxodon, extinct horses, paleo-llamas. The site stands out from most Central American Pleistocene deposits, being more ancient and much richer, which provides valuable information of the Great American Interchange, in which the Central American isthmus land bridge was paramount. At the same time, it is considered the richest vertebrate site in Central America and one of the largest accumulations of proboscideans in the Americas. Pre-Columbian Sophisticated civilization in El Salvador dates to its settlement by the indigenous Lenca people; theirs was the first and the oldest indigenous civilization to settle in there. They were a union of Central American tribes that oversaw most of the isthmus from southern Guatemala to northern Panama, which they called Managuara. The Lenca of eastern El Salvador trace their origins to specific caves with ancient pictographs dating back to at least 600 AD and some sources say as far back as 7000 BC. There was also a presence of Olmecs, although their role is unclear. Their influence remains recorded in the form of stone monuments and artefacts preserved in western El Salvador, as well as the national museum. A Mayan population settled there in the Formative period, but their numbers were greatly diminished when the Ilopango supervolcano eruption caused a massive exodus. Centuries later the area's occupants were displaced by the Pipil people, Nahua speaking groups who migrated from Anahuac beginning around 800 AD and occupied the central and western regions of El Salvador. The Nahua Pipil were the last indigenous people to arrive in El Salvador. They called their territory Kuskatan, a Nawat word meaning "The Place of Precious Jewels," back-formed into Classical Nahuatl Cōzcatlān, and Hispanicized as Cuzcatlán. It was the largest domain in Salvadoran territory up until European contact. The term Cuzcatleco is commonly used to identify someone of Salvadoran heritage, although the majority of the eastern population has indigenous heritage of Lenca origin, as do their place names such as Intipuca, Chirilagua, and Lolotique. Most of the archaeological sites in western El Salvador such as Lago de Guija and Joya De Ceren indicate a pre-Columbian Mayan culture. Cihuatan shows signs of material trade with northern Nahua culture, eastern Mayan and Lenca culture, and southern Nicaraguan and Costa Rican indigenous culture. Tazumal's smaller B1-2 structure shows a talud-tablero style of architecture that is associated with Nahua culture and corresponds with their migration history from Anahuac. In eastern El Salvador, the Lenca site of Quelepa is highlighted as a major pre-Columbian cultural center and demonstrates links to the Mayan site of Copan in western Honduras as well as the previously mentioned sites in Chalchuapa, and Cara Sucia in western El Salvador. An investigation of the site of La Laguna in Usulutan has also produced Copador items which link it to the Lenca-Maya trade route. European and African arrival (1522) By 1521, the indigenous population of the Mesoamerican area had been drastically reduced by the smallpox epidemic that was spreading throughout the territory, although it had not yet reached pandemic levels in Cuzcatlán or the northern portion Managuara. The first known visit by Spaniards to what is now Salvadoran territory was made by the admiral Andrés Niño, who led an expedition to Central America. He disembarked in the Gulf of Fonseca on 31 May 1522, at Meanguera island, naming it Petronila, and then traversed to Jiquilisco Bay on the mouth of Lempa River. The first indigenous people to have contact with the Spanish were the Lenca of eastern El Salvador. Conquest of Cuzcatlán and Managuara In 1524, after participating in the conquest of the Aztec Empire, Pedro de Alvarado, his brother Gonzalo, and their men crossed the Rio Paz southward into Cuzcatlec territory. The Spaniards were disappointed to discover that the Pipil had no gold or jewels like those they had found in Guatemala or Mexico, but they recognized the richness of the land's volcanic soil. Pedro Alvarado led the first incursion to extend their dominion to the domain of Cuzcatlan in June 1524. When he arrived at the borders of the kingdom, he saw that civilians had been evacuated. Cuzcatlec warriors moved to the coastal city of Acajutla and waited for Alvarado and his forces. Alvarado approached, confident that the result would be similar to what occurred in Mexico and Guatemala. He thought he would easily deal this new indigenous force since the Mexican allies on his side and the Pipil spoke a similar language. Alvarado described the Cuzcatlec soldiers as having shields decorated with colourful exotic feathers, a vest-like armour made of three inch cotton which arrows could not penetrate, and long spears. Both armies suffered many casualties, with a wounded Alvarado retreating and losing a lot of his men, especially among the Mexican Indian auxiliaries. Once his army had regrouped, Alvarado decided to head to the Cuzcatlan capital and again faced armed Cuzcatlec. Wounded, unable to fight and hiding in the cliffs, Alvarado sent his Spanish men on their horses to approach the Cuzcatlec to see if they would fear the horses, but they did not retreat, Alvarado recalls in his letters to Hernán Cortés. The Cuzcatlec attacked again, and on this occasion stole Spanish weaponry. Alvarado retreated and sent Mexican messengers to demand that the Cuzcatlec warriors return the stolen weapons and surrender to their opponent's king. The Cuzcatlec responded with the famous response, "If you want your weapons, come get them". As days passed, Alvarado, fearing an ambush, sent more Mexican messengers to negotiate, but these messengers never came back and were presumably executed. The Spanish efforts were firmly resisted by Pipil and their Mayan-speaking neighbours. They defeated the Spaniards and what was left of their Tlaxcalan allies, forcing them to withdraw to Guatemala. After being wounded, Alvarado abandoned the war and appointed his brother, Gonzalo de Alvarado, to continue the task. Two subsequent expeditions (the first in 1525, followed by a smaller group in 1528) brought the Pipil under Spanish control, since the Pipil also were weakened by a regional epidemic of smallpox. In 1525, the conquest of Cuzcatlán was completed and the city of San Salvador was established. The Spanish faced much resistance from the Pipil and were not able to reach eastern El Salvador, the area of the Lencas. In 1526 the Spanish founded the garrison town of San Miguel in northern Managuara—territory of the Lenca, headed by another explorer and conquistador, Luis de Moscoso Alvarado, nephew of Pedro Alvarado. Oral history holds that a Maya-Lenca crown princess, Antu Silan Ulap I, organized resistance to the conquistadors. The kingdom of the Lenca was alarmed by de Moscoso's invasion, and Antu Silan travelled from village to village, uniting all the Lenca towns in present-day El Salvador and Honduras against the Spaniards. Through surprise attacks and overwhelming numbers, they were able to drive the Spanish out of San Miguel and destroy the garrison. For ten years the Lencas prevented the Spanish from building a permanent settlement. Then the Spanish returned with more soldiers, including about 2,000 forced conscripts from indigenous communities in Guatemala. They pursued the Lenca leaders further up into the mountains of Intibucá. Antu Silan Ulap eventually handed over control of the Lenca resistance to Lempira (also called Empira). Lempira was noteworthy among indigenous leaders in that he mocked the Spanish by wearing their clothes after capturing them and using their weapons captured in battle. Lempira fought in command of thousands of Lenca forces for six more years in Managuara until he was killed in battle. The remaining Lenca forces retreated into the hills. The Spanish were then able to rebuild their garrison town of San Miguel in 1537. Colonial period (1525–1821) During the colonial period, San Salvador and San Miguel were part of the Captaincy General of Guatemala, also known as the Kingdom of Guatemala (), created in 1609 as an administrative division of New Spain. The Salvadoran territory was administered by the Mayor of Sonsonate, with San Salvador being established as an intendencia in 1786. In 1811, a combination of internal and external factors motivated Central American elites to attempt to gain independence from the Spanish Crown. The most important internal factors were the desire of local elites to control the country's affairs free of involvement from Spanish authorities, and the long-standing Creole aspiration for independence. The main external factors motivating the independence movement were the success of the French and American revolutions in the 18th century, and the weakening of the Spanish Crown's military power as a result of the Napoleonic Wars, with the resulting inability to control its colonies effectively. In November 1811 Salvadoran priest José Matías Delgado rang the bells of Iglesia La Merced in San Salvador, calling for insurrection and launching the 1811 Independence Movement. This insurrection was suppressed, and many of its leaders were arrested and served sentences in jail. Another insurrection was launched in 1814, which was also suppressed. Independence (1821) In 1821 in light of unrest in Guatemala, Spanish authorities capitulated and signed the Act of Independence of Central America, which released all of the Captaincy of Guatemala (comprising current territories of Guatemala, El Salvador, Honduras, Nicaragua and Costa Rica and the Mexican state of Chiapas) from Spanish rule and declared its independence. In 1821, El Salvador joined Costa Rica, Guatemala, Honduras and Nicaragua in a union named the Federal Republic of Central America. In early 1822, the authorities of the newly independent Central American provinces, meeting in Guatemala City, voted to join the newly constituted First Mexican Empire under Agustín de Iturbide. El Salvador resisted, insisting on autonomy for the Central American countries. A Mexican military detachment marched to San Salvador and suppressed dissent, but with the fall of Iturbide on 19 March 1823, the army decamped back to Mexico. Shortly thereafter, the authorities of the provinces revoked the vote to join Mexico, deciding instead to form a federal union of the five remaining provinces. (Chiapas permanently joined Mexico at this juncture.) When the Federal Republic of Central America dissolved in 1841, El Salvador maintained its own government until it joined Honduras and Nicaragua in 1896 to form the Greater Republic of Central America, which dissolved in 1898. After the mid-19th century, the economy was based on coffee growing. As the world market for indigo withered away, the economy prospered or suffered as the world coffee price fluctuated. The enormous profits that coffee yielded as a monoculture export served as an impetus for the concentration of land into the hands of an oligarchy of just a few families. Throughout the last half of the 19th century, a succession of presidents from the ranks of the Salvadoran oligarchy, nominally both conservative and liberal, generally agreed on the promotion of coffee as the predominant cash crop, the development of infrastructure (railroads and port facilities) primarily in support of the coffee trade, the elimination of communal landholdings to facilitate further coffee production, the passage of anti-vagrancy laws to ensure that displaced campesinos and other rural residents provided sufficient labour for the coffee fincas (plantations), and the suppression of rural discontent. In 1912, the national guard was created as a rural police force. 20th century In 1898, General Tomas Regalado gained power by force, deposing Rafael Antonio Gutiérrez and ruling as president until 1903. Once in office he revived the practice of presidents designating their successors. After serving his term, he remained active in the Army of El Salvador and was killed 11 July 1906, at El Jicaro during a war against Guatemala. Until 1913 El Salvador was politically stable, with undercurrents of popular discontent. When President Manuel Enrique Araujo was killed in 1913, many hypotheses were advanced for the political motive of his murder. Araujo's administration was followed by the Melendez-Quinonez dynasty that lasted from 1913 to 1927. Pio Romero Bosque, ex-Minister of the Government and a trusted collaborator of the dynasty, succeeded President Jorge Meléndez and in 1930 announced free elections, in which Arturo Araujo came to power on 1 March 1931 in what was considered the country's first freely contested election. His government lasted only nine months before it was overthrown by junior military officers who accused his Labor Party of lacking political and governmental experience and of using its government offices inefficiently. President Araujo faced general popular discontent, as the people had expected economic reforms and the redistribution of land. There were demonstrations in front of the National Palace from the first week of his administration. His vice president and minister of war was General Maximiliano Hernández Martínez. In December 1931, a coup d'état was organized by junior officers and led by Martínez. Only the First Regiment of Cavalry and the National Police defended the presidency (the National Police had been on its payroll), but later that night, after hours of fighting, the badly outnumbered defenders surrendered to rebel forces. The Directorate, composed of officers, hid behind a shadowy figure, a rich anti-Communist banker called Rodolfo Duke, and later installed the ardent fascist Martínez as president. The revolt was probably caused by the army's discontent at not having been paid by President Araujo for some months. Araujo left the National Palace and unsuccessfully tried to organize forces to defeat the revolt. The U.S. Minister in El Salvador met with the Directorate and later recognized the government of Martínez, which agreed to hold presidential elections. He resigned six months prior to running for re-election, winning back the presidency as the only candidate on the ballot. He ruled from 1935 to 1939, then from 1939 to 1943. He began a fourth term in 1944 but resigned in May after a general strike. Martínez had said he was going to respect the constitution, which stipulated he could not be re-elected, but he refused to keep his promise. La Matanza From December 1931, the year of the coup that brought Martínez to power, there was brutal suppression of rural resistance. The most notable event was the February 1932 Salvadoran peasant uprising, originally led by Farabundo Martí and Abel Cuenca, and university students Alfonso Luna and Mario Zapata, but these leaders were captured before the planned insurrection. Only Cuenca survived; the other insurgents were killed by the government. After the capture of the movement leaders, the insurrection erupted in a disorganized and mob-controlled fashion, resulting in government repression that was later referred to as La Matanza (The Massacre), because tens of thousands of citizens died in the ensuing chaos on the orders of President Martinez. In the unstable political climate of the previous few years, the social activist and revolutionary leader Farabundo Martí helped found the Communist Party of Central America, and led a Communist alternative to the Red Cross called International Red Aid, serving as one of its representatives. Their goal was to help poor and underprivileged Salvadorans through the use of Marxist–Leninist ideology (strongly rejecting Stalinism). In December 1930, at the height of the country's economic and social depression, Martí was once again exiled because of his popularity among the nation's poor and rumours of his upcoming nomination for president the following year. Once Arturo Araujo was elected president in 1931, Martí returned to El Salvador, and along with Alfonso Luna and Mario Zapata began the movement that was later truncated by the military. They helped start a guerrilla revolt of indigenous farmers. The government responded by killing over 30,000 people at what was to have been a "peaceful meeting" in 1932. The peasant uprising against Martínez was crushed by the Salvadoran military ten days after it had begun. The Communist-led rebellion, fomented by collapsing coffee prices, enjoyed some initial success, but was soon drowned in a bloodbath. President Martínez, who had toppled an elected government only weeks earlier, ordered the defeated Martí shot after a perfunctory hearing. Historically, the high Salvadoran population density has contributed to tensions with neighbouring Honduras, as land-poor Salvadorans emigrated to less densely populated Honduras and established themselves as squatters on unused or underused land. This phenomenon was a major cause of the 1969 Football War between the two countries. As many as 130,000 Salvadorans were forcibly expelled or fled from Honduras. The Christian Democratic Party (PDC) and the National Conciliation Party (PCN) were active in Salvadoran politics from 1960 until 2011, when they were disbanded by the Supreme Court because they had failed to win enough votes in the 2004 presidential election; Both parties have since reconstituted. They share common ideals, but one represents the middle class and the latter the interests of the Salvadoran military. PDC leader José Napoleón Duarte was the mayor of San Salvador from 1964 to 1970, winning three elections during the regime of PCN President Julio Adalberto Rivera Carballo, who allowed free elections for mayors and the National Assembly. Duarte later ran for president with a political grouping called the National Opposition Union (UNO) but was defeated in the 1972 presidential elections. He lost to the ex-Minister of Interior, Col. Arturo Armando Molina, in an election that was widely viewed as fraudulent; Molina was declared the winner even though Duarte was said to have received a majority of the votes. Duarte, at some army officers' request, supported a revolt to protest the election fraud, but was captured, tortured and later exiled. Duarte returned to the country in 1979 to enter politics after working on projects in Venezuela as an engineer. Salvadoran Civil War (1979–1992) On 15 October 1979, a coup d'état brought the Revolutionary Government Junta of El Salvador to power. It nationalized many private companies and took over much privately owned land. The purpose of this new junta was to stop the revolutionary movement already underway in response to Duarte's stolen election. Nevertheless, the oligarchy opposed agrarian reform, and a junta formed with young reformist elements from the army such as Colonels Adolfo Arnoldo Majano and Jaime Abdul Gutiérrez, as well as with progressives such as Guillermo Ungo and Alvarez. Pressure from the oligarchy soon dissolved the junta because of its inability to control the army in its repression of the people fighting for unionization rights, agrarian reform, better wages, accessible health care and freedom of expression. In the meantime, the guerrilla movement was spreading to all sectors of Salvadoran society. Middle and high school students were organized in MERS (Movimiento Estudiantil Revolucionario de Secundaria, Revolutionary Movement of Secondary Students); college students were involved with AGEUS (Asociacion de Estudiantes Universitarios Salvadorenos; Association of Salvadoran College Students); and workers were organized in BPR (Bloque Popular Revolucionario, Popular Revolutionary Block). In October 1980, several other major guerrilla groups of the Salvadoran left had formed the Farabundo Martí National Liberation Front, or FMLN. By the end of the 1970s, government-contracted death squads were killing about 10 people each day. Meanwhile, the FMLN had 6,000 – 8,000 active guerrillas and hundreds of thousands of part-time militia, supporters, and sympathizers. The U.S. supported and financed the creation of a second junta to change the political environment and stop the spread of a leftist insurrection. Napoleón Duarte was recalled from his exile in Venezuela to head this new junta. However, a revolution was already underway and his new role as head of the junta was seen by the general population as opportunistic. He was unable to influence the outcome of the insurrection. Óscar Romero, the Roman Catholic Archbishop of San Salvador, denounced injustices and massacres committed against civilians by government forces. He was considered "the voice of the voiceless", but he was assassinated by a death squad while saying Mass on 24 March 1980. Some consider this to be the beginning of the full Salvadoran Civil War, which lasted from 1980 to 1992. An unknown number of people "disappeared" during the conflict, and the UN reports that more than 75,000 were killed. The Salvadoran Army's US-trained Atlacatl Battalion was responsible for the El Mozote massacre where more than 800 civilians were murdered, over half of them children, the El Calabozo massacre, and the murder of UCA scholars. On 16 January 1992, the government of El Salvador, represented by president Alfredo Cristiani, and the FMLN, represented by the commanders of the five guerrilla groups – Shafik Handal, Joaquín Villalobos, Salvador Sánchez Cerén, Francisco Jovel and Eduardo Sancho, all signed peace agreements brokered by the United Nations ending the 12-year civil war. This event, held at Chapultepec Castle in Mexico, was attended by U.N. dignitaries and other representatives of the international community. After signing the armistice, the president stood up and shook hands with all the now ex-guerrilla commanders, an action which was widely admired. Post-war (1992–present) The so-called Chapultepec Peace Accords mandated reductions in the size of the army, and the dissolution of the National Police, the Treasury Police, the National Guard and the Civilian Defence, a paramilitary group. A new Civil Police was to be organized. Judicial immunity for crimes committed by the armed forces ended; the government agreed to submit to the recommendations of a Commission on the Truth for El Salvador (Comisión de la Verdad Para El Salvador), which would "investigate serious acts of violence occurring since 1980, and the nature and effects of the violence, and...recommend methods of promoting national reconciliation". In 1993 the Commission delivered its findings reporting human rights violations on both sides of the conflict. Five days later the Salvadoran legislature passed an amnesty law for all acts of violence during the period. From 1989 until 2004, Salvadorans favoured the Nationalist Republican Alliance (ARENA) party, voting in ARENA presidents in every election (Alfredo Cristiani, Armando Calderón Sol, Francisco Flores Pérez, Antonio Saca) until 2009. The unsuccessful attempts of the left-wing party to win presidential elections led to its selection of a journalist rather than a former guerrilla leader as a candidate. On 15 March 2009, Mauricio Funes, a television figure, became the first president from the Farabundo Martí National Liberation Front (FMLN) party. He was inaugurated on 1 June 2009. One focus of the Funes government has been revealing the alleged corruption from the past government. ARENA formally expelled Saca from the party in December 2009. With 12 loyalists in the National Assembly, Saca established his own party, GANA (Gran Alianza por la Unidad Nacional or Grand Alliance for National Unity), and entered into a tactical legislative alliance with the FMLN. After three years in office, with Saca's GANA party providing the FMLN with a legislative majority, Funes had not taken action to either investigate or to bring corrupt former officials to justice. Economic reforms since the early 1990s brought major benefits in terms of improved social conditions, diversification of the export sector, and access to international financial markets at investment grade level. Crime remains a major problem for the investment climate. Early in the new millennium, El Salvador's government created the Ministerio de Medio Ambiente y Recursos Naturales — the Ministry of Environment and Natural Resources (MARN) — in response to climate change concerns. In March 2014, Salvador Sanchez Ceren of the FMLN narrowly won the election. He was sworn in as president on 31 May 2014. He was the first former guerrilla to become the President of El Salvador. In October 2017, an El Salvador court ruled that former leftist President Mauricio Funes, in office since 2009 until 2014, and one of his sons, had illegally enriched themselves. Funes had sought asylum in Nicaragua in 2016. In September 2018, former conservative President Antonio “Tony” Saca, in office since 2004 until 2009, was sentenced to 10 years in prison after he pleaded guilty to diverting more than US$300 million in state funds to his own businesses and third parties. Presidency of Nayib Bukele since 2019 On 1 June 2019, Nayib Bukele became the new President of El Salvador. Bukele was the winner of February 2019 presidential election. He represented the center-right Grand Alliance for National Unity (GANA). Two main parties, left-wing FMLN and the right-wing ARENA, had dominated politics in El Salvador over the past three decades. According to a report by the International Crisis Group (ICG) 2020, the homicide rates, murders in El Salvador had dropped by as much as 60 percent since Bukele became president in June 2019. The reason might have been a “non-aggression deal” between parts of the government and the gangs. The party Nuevas Ideas, founded by Bukele, with its allies (GANA–Nuevas Ideas) won around two-thirds of the vote in the February 2021 legislative elections. His party won supermajority of 56 seats in the 84-seat parliament. The supermajority enables Bukele to appoint judges and to pass laws, for instance, to remove presidential term limits. On 8 June 2021, at the initiative of president Bukele, pro-government deputies in the Legislative Assembly of El Salvador voted legislation to make Bitcoin legal tender in the country. In September 2021, El Salvador's Supreme Court decided to allow Bukele to run for a second term in 2024, despite the constitution prohibits the president to serve two consecutive terms in office. The decision was organized by judges appointed to the court by President Bukele. In January 2022, The International Monetary Fund (IMF) urged El Salvador to reverse its decision to make cryptocurrency Bitcoin legal tender. Bitcoin had rapidly lost about half of its value, meaning economic difficulties for El Salvador. President Bukele had announced his plans to build a Bitcoin city at the base of a volcano in El Salvador. Geography El Salvador lies in the isthmus of Central America between latitudes 13° and 15°N, and longitudes 87° and 91°W. It stretches from west-northwest to east-southeast and north to south, with a total area of . As the smallest country in continental America, El Salvador is affectionately called Pulgarcito de America (the "Tom Thumb of the Americas"). El Salvador shares borders with Guatemala and Honduras, the total national boundary length is : with Guatemala and with Honduras. It is the only Central American country that has no Caribbean coastline. The coastline on the Pacific is long. El Salvador has over 300 rivers, the most important of which is the Rio Lempa. Originating in Guatemala, the Rio Lempa cuts across the northern range of mountains, flows along much of the central plateau, and cuts through the southern volcanic range to empty into the Pacific. It is El Salvador's only navigable river. It and its tributaries drain about half of the country's area. Other rivers are generally short and drain the Pacific lowlands or flow from the central plateau through gaps in the southern mountain range to the Pacific. These include the Goascorán, Jiboa, Torola, Paz and the Río Grande de San Miguel. There are several lakes enclosed by volcanic craters in El Salvador, the most important of which are Lake Ilopango () and Lake Coatepeque (). Lake Güija is El Salvador's largest natural lake (). Several artificial lakes were created by the damming of the Lempa, the largest of which is Cerrón Grande Reservoir (). There are a total of water within El Salvador's borders. The highest point in El Salvador is Cerro El Pital, at , on the border with Honduras. Two parallel mountain ranges cross El Salvador to the west with a central plateau between them and a narrow coastal plain hugging the Pacific. These physical features divide the country into two physiographic regions. The mountain ranges and central plateau, covering 85% of the land, comprise the interior highlands. The remaining coastal plains are referred to as the Pacific lowlands. Climate El Salvador has a tropical climate with pronounced wet and dry seasons. Temperatures vary primarily with elevation and show little seasonal change. The Pacific lowlands are uniformly hot; the central plateau and mountain areas are more moderate. The rainy season extends from May to October; this time of year is referred to as invierno or winter. Almost all the annual rainfall occurs during this period; yearly totals, particularly on southern-facing mountain slopes, can be as high as 2170 mm. Protected areas and the central plateau receive less, although still significant, amounts. Rainfall during this season generally comes from low pressure systems formed over the Pacific and usually falls in heavy afternoon thunderstorms. From November through April, the northeast trade winds control weather patterns; this time of year is referred to as verano, or summer. During these months, air flowing from the Caribbean has lost most of its precipitation while passing over the mountains in Honduras. By the time this air reaches El Salvador, it is dry, hot, and hazy, and the country experiences hot weather, excluding the northern higher mountain ranges, where temperatures are generally cooler. Natural disasters Extreme weather events El Salvador's position on the Pacific Ocean also makes it subject to severe weather conditions, including heavy rainstorms and severe droughts, both of which may be made more extreme by the El Niño and La Niña effects. Hurricanes occasionally form in the Pacific with the notable exception of Hurricane Mitch, which formed in the Atlantic and crossed Central America. In the summer of 2001 a severe drought destroyed 80% of El Salvador's crops, causing famine in the countryside. On 4 October 2005, severe rains resulted in dangerous flooding and landslides, which caused at least 50 deaths. Earthquakes and volcanic activity El Salvador lies along the Pacific Ring of Fire and is thus subject to significant tectonic activity, including frequent earthquakes and volcanic activity. The capital San Salvador was destroyed in 1756 and 1854, and it suffered heavy damage in the 1919, 1982, and 1986 tremors. Recent examples include the earthquake on 13 January 2001 that measured 7.7 on the Richter magnitude scale and caused a landslide that killed more than 800 people; and another earthquake only a month later, on 13 February 2001, that killed 255 people and damaged about 20% of the country's housing. A 5.7 Mw earthquake in 1986 resulted in 1,500 deaths, 10,000 injuries, and 100,000 people left homeless. El Salvador has over twenty volcanoes; two of them, San Miguel and Izalco, have been active in recent years. From the early 19th century to the mid-1950s, Izalco erupted with a regularity that earned it the name "Lighthouse of the Pacific". Its brilliant flares were clearly visible for great distances at sea, and at night its glowing lava turned it into a brilliant luminous cone. The most recent destructive volcanic eruption took place on 1 October 2005, when the Santa Ana Volcano spewed a cloud of ash, hot mud and rocks that fell on nearby villages and caused two deaths. The most severe volcanic eruption in this area occurred in the 5th century AD when the Ilopango volcano erupted with a VEI strength of 6, producing widespread pyroclastic flows and devastating Mayan cities. Flora and fauna It is estimated that there are 500 species of birds, 1,000 species of butterflies, 400 species of orchids, 800 species of trees, and 800 species of marine fish in El Salvador. There are eight species of sea turtles in the world; six of them nest on the coasts of Central America, and four make their home on the Salvadoran coast: the leatherback turtle, the hawksbill, the green sea turtle, and the olive ridley. The hawksbill is critically endangered. Recent conservation efforts provide hope for the future of the country's biological diversity. In 1997, the government established the Ministry of the Environment and Natural Resources. A general environmental framework law was approved by the National Assembly in 1999. Several non-governmental organizations are doing work to safeguard some of the country's most important forested areas. Foremost among these is SalvaNatura, which manages El Impossible, the country's largest national park under an agreement with El Salvador's environmental authorities. El Salvador is home to six terrestrial ecosystems: Central American montane forests, Sierra Madre de Chiapas moist forests, Central American dry forests, Central American pine-oak forests, Gulf of Fonseca mangroves, and Northern Dry Pacific Coast mangroves. It had a 2018 Forest Landscape Integrity Index mean score of 4.05/10, ranking it 136th globally out of 172 countries. Government and politics The 1983 constitution has the highest legal authority in the country. El Salvador has a democratic and representative government, whose three bodies are: The Executive Branch, headed by the President of the Republic, who is elected by direct vote and remains in office for five years with no re-election but he can be elected after sitting out one electoral period. The president has a Cabinet of Ministers whom he appoints, and is also the Commander-in-Chief of the Armed Forces. The Legislative Branch, called El Salvador's Legislative Assembly (unicameral), consisting of 84 deputies. The Judiciary, headed by the Supreme Court, which is composed of 15 judges, one of them being elected as President of the Judiciary. The political framework of El Salvador is a presidential representative democratic republic with a multiform, multi-party system. The President, currently Nayib Bukele, is both head of state and head of government. Executive power is exercised by the government. Legislative power is vested in both the government and the Legislative Assembly. The country also has an independent judiciary and Supreme Court. Politics El Salvador has a multi-party system. Two political parties, the Nationalist Republican Alliance (ARENA) and the Farabundo Martí National Liberation Front (FMLN) have tended to dominate elections. ARENA candidates won four consecutive presidential elections until the election of Mauricio Funes of the FMLN in March 2009. The FMLN Party is leftist in ideology, and is split between the dominant Marxist-Leninist faction in the legislature, and the social liberal wing led by Mauricio Funes until 2014. However, the two-party dominance was broken after Nayib Bukele, a candidate from GANA won the 2019 Salvadoran presidential election. In February 2021, the results of legislative election caused a major change in the politics of El Salvador. The new allied party of president Nayib Bukele, Nuevas Ideas (New Ideas) won the biggest congressional majority in the country's history. The departments of the Central region, especially the capital and the coastal regions, known as (red departments) are relatively leftist. The (blue departments) in the east, western and highland regions are relatively conservative. Foreign relations and military El Salvador is a member of the United Nations and several of its specialized agencies. It is also member of the Organization of American States, the Central American Parliament, and the Central American Integration System among others. It actively participates in the Central American Security Commission, which seeks to promote regional arms control. El Salvador is a member of the World Trade Organization and is pursuing regional free trade agreements. An active participant in the Summit of the Americas process, El Salvador chairs a working group on market access under the Free Trade Area of the Americas initiative. In November 1950, El Salvador was the only country to help the newly empowered 14th Dalai Lama by supporting his Tibetan Government cabinet minister's telegram requesting an appeal before the General Assembly of the United Nations to stop the annexation of Tibet by the People's Republic of China. With no other countries in support, "the UN unanimously dropped the Tibetan plea from its agenda." The Armed Forces of El Salvador have three branches: the Salvadoran Army, the Salvadoran Air Force and the Navy of El Salvador. There are around 17,000 personnel in the armed forces in total. In 2017, El Salvador signed the UN treaty on the Prohibition of Nuclear Weapons. El Salvador is a party to the Rome Statute of the International Criminal Court. Human rights Amnesty International has drawn attention to several arrests of police officers for unlawful police killings. Other issues to gain Amnesty International's attention include missing children, failure of law enforcement to properly investigate and prosecute crimes against women, and rendering organized labour illegal. Discrimination against LGBT people in El Salvador is very widespread. According to 2013 survey by the Pew Research Center, 62% of Salvadorans believe that homosexuality should not be accepted by society. Administrative divisions El Salvador is divided into 14 departments (departamentos), which in turn are subdivided into 262 municipalities (municipios). Economy El Salvador's economy has been hampered at times by natural disasters such as earthquakes and hurricanes, by government policies that mandate large economic subsidies, and by official corruption. Subsidies became such a problem that in April 2012, the International Monetary Fund suspended a $750 million loan to the central government. President Funes' chief of cabinet, Alex Segovia, acknowledged that the economy was at the "point of collapse". Gross domestic product (GDP) in purchasing power parity estimate for 2021 is US$57.95 billion growing real GDP at 4.2% for 2021. The service sector is the largest component of GDP at 64.1%, followed by the industrial sector at 24.7% (2008 est.) and agriculture represents 11.2% of GDP (2010 est.). The GDP grew after 1996 at an annual rate that averaged 3.2% real growth. The government committed to free market initiatives and the 2007 GDP's real growth rate hit 4.7%. In December 1999, net international reserves equaled US$1.8 billion. Having this hard currency buffer to work with, the Salvadoran government undertook a monetary integration plan beginning in January 2001 by which the U.S. dollar became legal tender alongside the Salvadoran colón, and all formal accounting was done in U.S. dollars. With the adoption of the U.S. dollar, El Salvador lost control over monetary policy. Any counter-cyclical policy response to the downturn must be through fiscal policy, which is constrained by legislative requirements for a two-thirds majority to approve any international financing. As of December 2017, net international reserves stood at $3.57 billion. It has long been a challenge in El Salvador to develop new growth sectors for a more diversified economy. In the past, the country produced gold and silver, but recent attempts to reopen the mining sector, which were expected to add hundreds of millions of dollars to the local economy, collapsed after President Saca shut down the operations of Pacific Rim Mining Corporation. Nevertheless, according to the Central American Institute for Fiscal Studies (Instituto Centroamericano for Estudios Fiscales), the contribution of metallic mining was a minuscule 0.3% of the country's GDP between 2010 and 2015. Saca's decision although not lacking political motives, had strong support from local residents and grassroots movements in the country. President Funes later rejected a company's application for a further permit based on the risk of cyanide contamination on one of the country's main rivers. As with other former colonies, El Salvador was considered a mono-export economy (an economy that depended heavily on one type of export) for many years. During colonial times, El Salvador was a thriving exporter of indigo, but after the invention of synthetic dyes in the 19th century, the newly created modern state turned to coffee as the main export. The government has sought to improve the collection of its current revenues, with a focus on indirect taxes. A 10% value-added tax (IVA in Spanish), implemented in September 1992, was raised to 13% in July 1995. Inflation has been steady and among the lowest in the region. As a result of the free trade agreements, from 2000 to 2006, total exports have grown 19% from $2.94 billion to $3.51 billion, and total imports have risen 54% from $4.95 billion to $7.63 billion. This has resulted in a 102% increase in the trade deficit, from $2.01 billion to $4.12 billion. In 2006, El Salvador was the first country to ratify the Central America-Dominican Republic Free Trade Agreement (CAFTA) — negotiated by the five countries of Central America and the Dominican Republic — with the United States. CAFTA requires that the Salvadoran government adopt policies that foster free trade. CAFTA has bolstered exports of processed foods, sugar, and ethanol, and supported investment in the apparel sector, which faced Asian competition with the expiration of the Multi Fibre Arrangement in 2005. In anticipation of the declines in the apparel sector's competitiveness, the previous administration sought to diversify the economy by promoting the country as a regional distribution and logistics hub, and by promoting tourism investment through tax incentives. In June 2021, President Nayib Bukele said he would introduce legislation to make Bitcoin legal tender in El Salvador. The Bitcoin Law was passed by the Legislative Assembly of El Salvador on 9 June 2021, with a majority vote of 62 out of 84. Bitcoin officially become a legal tender on 7 September 2021, ninety days after the publication of the law in the official gazette. As part of the law foreigners can gain permanent residence in El Salvador if they invest 3 Bitcoin into the country. The implementation of the law has been met with protests, with the majority of the country being against using Bitcoin as legal tender. Remittances from abroad El Salvador leads the region in remittances per capita, with inflows equivalent to nearly all export income; in 2019 2.35 million Salvadorans lived in the U.S. and about a third of all households received remittances. Remittances from Salvadorans living in the United States, sent to family members in El Salvador, are a major source of foreign income and offset the trade deficit. Remittances have increased steadily since the early 2000s, growing from $3.32 billion, or approximately 16.2% of GDP in 2006, to nearly $6 billion (around 20% of GDP in 2019, one of the highest rates in the world, according to the World Bank.) Remittances have had positive and negative effects on El Salvador. In 2005, the number of people living in extreme poverty in El Salvador was 20%, according to a United Nations Development Program report. While Salvadoran education levels have gone up, wage expectations have risen faster than productivity. This has led to an influx of Hondurans and Nicaraguans who are willing to work for the prevailing wage. Also, the local propensity for consumption has increased. Money from remittances has increased prices for certain commodities such as real estate. With much higher wages, many Salvadorans abroad can afford higher prices for houses in El Salvador and thus push up the prices that all Salvadorans must pay. Energy El Salvador's energy industry is diversified across fossil fuels, hydro, other renewables (mainly geothermal) for local electricity production, along with a reliance on imports for oil. El Salvador has an installed capacity of 1,983 MW generating 5,830 GWh of electricity per year, 84% of this comes from renewable sources including 26.85% from geothermal (produced from the country's many volcanoes), 29.92% from hydro and the rest is from fossil fuels. According to the National Energy Commission, 94.4% of total injections during January 2021 came from hydroelectric plants (28.5% - 124.43 GWh), geothermal (27.3% - 119.07 GWh), biomass (24.4% 106.43 GWh), photovoltaic solar (10.6% - 46.44 GWh) and wind (3.6% - 15.67 GWh). Telecommunications El Salvador has 0.9 million fixed telephone lines, 0.5 million fixed broadband lines and 9.4 million mobile cellular subscriptions. Much of the population is able to access the internet through their smartphones and mobile networks, which liberal government regulation promotes mobile penetration over fixed line including the deployment of 5G coverage (which testing of began in 2020). Transition to digital transmission of TV/radio networks was done in 2018 with the adaptation of the ISDB-T standard. There are hundreds of privately owned national TV networks, cable TV networks (that also carry international channels), and radio stations available; while there is also 1 government owned broadcast station. Official corruption and foreign investment In an analysis of ARENA's electoral defeat in 2009, the U.S. Embassy in San Salvador pointed to official corruption under the Saca administration as a significant reason for public rejection of continued ARENA government. According to a secret diplomatic cable made public by WikiLeaks, "While the Salvadoran public may be inured to self-serving behaviour by politicians, many in ARENA believe that the brazen manner in which Saca and his people are widely perceived to have used their positions for personal enrichment went beyond the pale. ARENA deputy Roberto d'Aubuisson, son of ARENA founder Roberto d'Aubuisson, told [a U.S. diplomat] that Saca 'deliberately ignored' his Public Works Minister's government contract kickbacks scheme, even after the case was revealed in the press. Furthermore, considerable evidence exists, including from U.S. business sources, that the Saca administration pushed laws and selectively enforced regulations with the specific intent to benefit Saca family business interests." Subsequent policies under Funes administrations improved El Salvador to foreign investment, and the World Bank in 2014 rated El Salvador 109, a little better than Belize (118) and Nicaragua (119) in the World Bank's annual "Ease of doing business" index. As per Santander Trade, a Spanish think tank in foreign investment, "Foreign investment into El Salvador has been steadily growing during the last few years. In 2013, the influx of FDI increased. Nevertheless, El Salvador receives less FDI than other countries of Central America. The government has made little progress in terms of improving the business climate. In addition to this, the limited size of its domestic market, weak infrastructures and institutions, as well as the high level of criminality have been real obstacles to investors. However, El Salvador is the second most "business friendly" country in South America in terms of business taxation. It also has a young and skilled labour force and a strategic geographical position. The country's membership in the DR-CAFTA, as well as its reinforced integration to the C4 countries (producers of cotton) should lead to an increase of FDI." Foreign companies have lately resorted to arbitration in international trade tribunals in total disagreement with Salvadoran government policies. In 2008, El Salvador sought international arbitration against Italy's Enel Green Power, on behalf of Salvadoran state-owned electric companies for a geothermal project Enel had invested in. Four years later, Enel indicated it would seek arbitration against El Salvador, blaming the government for technical problems that prevent it from completing its investment. The government came to its defence claiming that Art 109 of the constitution does not allow any government (regardless of the party they belong), to privatize the resources of the national soil (in this case geothermic energy). The dispute came to an end in December 2014 when both parties came to a settlement, from which no details have been released. The small country had yielded to pressure from the Washington-based powerful ICSID. The U.S. Embassy warned in 2009 that the Salvadoran government's populist policies of mandating artificially low electricity prices were damaging private sector profitability, including the interests of American investors in the energy sector. The U.S. Embassy noted the corruption of El Salvador's judicial system and quietly urged American businesses to include "arbitration clauses, preferably with a foreign venue", when doing business in the country. A 2008 report by the United Nations Conference on Trade and Development indicates that one third of the generation of electricity in El Salvador was publicly owned while two thirds was in American hands and other foreign ownership. In terms of how people perceived the levels of public corruption in 2014, El Salvador ranks 80 out of 175 countries as per the Corruption Perception Index. El Salvador's rating compares relatively well with Panama (94 of 175) and Costa Rica (47 of 175). Tourism It was estimated that 1,394,000 international tourists visited El Salvador in 2014. Tourism contributed US$2970.1 million to El Salvador's GDP in 2019. This represented 11% of total GDP. Tourism directly supported 80,500 jobs in 2013. This represented 3.1% of total employment in El Salvador. In 2019, tourism indirectly supported 317,200 jobs, representing 11.6% of total employment in El Salvador. Most North American and European tourists seek out El Salvador's beaches and nightlife. El Salvador's tourism landscape is slightly different from those of other Central American countries. Because of its geographic size and urbanization there are not many nature-themed tourist destinations such as ecotours or archaeological sites open to the public. According to the Salvadoran newspaper El Diario De Hoy, the top 10 attractions are: the coastal beaches, La Libertad, Ruta Las Flores, Suchitoto, Playa Las Flores in San Miguel, La Palma, Santa Ana (location of the country's highest volcano), Nahuizalco, Apaneca, Juayua, and San Ignacio. Surfing is a natural tourism sector that has gained popularity in recent years as Salvadoran beaches have become increasingly popular. Surfers visit many beaches on the coast of La Libertad and the east end of El Salvador. The use of the U.S. dollar as Salvadoran currency and direct flights of 4 to 6 hours from most cities in the United States are factors that attract American tourists. Urbanization and Americanization of Salvadoran culture has led to the abundance of American-style malls, stores, and restaurants in the three main urban areas, especially greater San Salvador. Infrastructure The level of access to water supply and sanitation has been increased significantly. A 2015 conducted study by the University of North Carolina called El Salvador the country that has achieved the greatest progress in the world in terms of increased access to water supply and sanitation and the reduction of inequity in access between urban and rural areas. However, water resources are seriously polluted and a large part of the wastewater discharged into the environment without any treatment. Institutionally a single public institution is both de facto in charge of setting sector policy and of being the main service provider. Attempts at reforming and modernizing the sector through new laws have not borne fruit over the past 20 years. In response to the Covid-19 pandemic, the government converted the country's main convention center into Hospital El Salvador to be the largest hospital in Latin America. The facility was inaugurated by the president on 22 June 2020, at which time he announced the hospital conversion would be permanent because of the large investment made. US$25 million was spent on the first phase of the conversion of the former convention center, with the entire facility costing $75 million and featuring a blood bank, morgue, radiology area, among other amenities. The hospital will have a total capacity of 1,083 ICU beds and 2,000 beds total once phase 3 is completed. The airport serving international flights in El Salvador is Monseñor Óscar Arnulfo Romero International Airport. This airport is located about southeast of San Salvador. Demographics El Salvador's population was in , compared to 2,200,000 in 1950. In 2010 the percentage of the population below the age of 15 was 32.1%, 61% were between 15 and 65 years of age, while 6.9% were 65 years or older. The capital city of San Salvador has a population of about 2.1 million people. An estimated 42% of El Salvador's population live in rural areas. Urbanization has expanded at a phenomenal rate in El Salvador since the 1960s, with millions moving to the cities and creating associated problems for urban planning and services. There are up to 100,000 Nicaraguans living in El Salvador. Ethnic groups El Salvador's population is composed of mixed races as well as people of indigenous, European, or Afro-descendant ancestry among smaller diasporas of Middle and Far Eastern groups. Eighty-six per cent of Salvadorans identify with mestizo ancestry. 12.7% of Salvadorans report as White, mostly of ethnically Spanish people, while there are also Salvadorans of French, German, Swiss, English, Irish, and Italian descent. Most Central European immigrants in El Salvador arrived during World War II as refugees from the Czech Republic, Germany, Hungary, Poland, and Switzerland. There are also small communities of Jews, Palestinian Christians, and Arab Muslims (in particular Palestinians). 0.23% of the population report as fully indigenous. The ethnic groups are Kakawira which represents 0.07% of the total country's population, Nawat (0.06%), Lenca (0.04%) and other minor groups (0.06%). Very few Amerindians have retained their customs and traditions, having over time assimilated into the dominant mestizo culture. There is a small Afro-Salvadoran group that is 0.13% of the total population, with Blacks, among other races, having been prevented from immigrating via government policies in the early 20th century. The descendants of enslaved Africans, however, had already integrated into the Salvadoran population and culture well before, during the colonial and post-colonial period. Among the immigrant groups in El Salvador, Palestinian Christians stand out. Though few in number, their descendants have attained great economic and political power in the country, as evidenced by the election of President Antonio Saca, whose opponent in the 2004 election, Schafik Handal, was also of Palestinian descent, and the flourishing commercial, industrial, and construction firms owned by this ethnic group. , there were approximately 3.2 million Salvadorans living outside El Salvador, with the United States traditionally being the destination of choice for Salvadoran economic migrants. By 2012, there were about 2.0 million Salvadoran immigrants and Americans of Salvadoran descent in the U.S., making them the sixth largest immigrant group in the country. The second destination of Salvadorans living outside is Guatemala, with more than 111,000 persons, mainly in Guatemala City. Salvadorans also live in other nearby countries such as Belize, Honduras and Nicaragua. Other countries with notable Salvadoran communities include Canada, Mexico, the United Kingdom (including the Cayman Islands), Sweden, Brazil, Italy, Colombia, and Australia. Languages Castillian, also known as Spanish, is the official language and is spoken by virtually all inhabitants, although a very small number (around 500) of indigenous Pipils speak Nawat. The other indigenous languages, namely Poqomam, Cacaopera, and Lenca are extinct. Q'eqchi' is spoken by indigenous immigrants of Guatemalan and Belizean origin living in El Salvador. The local Spanish vernacular is called Caliche, which is considered informal. Like other regions of Central and South America, Salvadoran use voseo. This refers to the use of "vos" as the second person pronoun, instead of "tú". Religion The majority of the population in El Salvador is Christian. Roman Catholics (47%) and Protestants (33%) are the two major religious groups in the country, with the Catholic Church the largest denomination. Those not affiliated with any religious group amount to 17% of the population. The remainder of the population (3%) is made up of Jehovah's Witnesses, Hare Krishnas, Muslims, Jews, Buddhists, Latter-day Saints, and those adhering to indigenous religious beliefs. The number of evangelicals in the country is growing rapidly. Óscar Romero, the first Salvadoran saint, was canonized by Pope Francis on 14 October 2018. Education The public education system in El Salvador is severely lacking in resources. Class sizes in public schools can be as large as 50 children per classroom. Salvadorans who can afford the cost often choose to send their children to private schools, which are regarded as being better-quality than public schools. Most private schools follow American, European or other advanced systems. Lower-income families are forced to rely on public education. Education in El Salvador is free through high school. After nine years of basic education (elementary–middle school), students have the option of a two-year high school or a three-year high school. A two-year high school prepares the student for transfer to a university. A three-year high school allows the student to graduate and enter the workforce in a vocational career, or to transfer to a university to further their education in their chosen field. Universities in El Salvador include a central public institution, the Universidad de El Salvador, and many other specialized private universities. El Salvador was ranked 92nd in the Global Innovation Index in 2020, up from 108th in 2019. Crime Since the early twenty-first century, El Salvador has experienced high crime rates, including gang-related crimes and juvenile delinquency. El Salvador had the highest murder rate in the world in 2012 but experienced a sharp decline in 2019 with a new centrist government in power. It is also considered an epicentre of a gang crisis, along with Guatemala and Honduras. Several journalistic investigations indicate that the government administrations of Carlos Mauricio Funes Cartagena and Salvador Sánchez Cerén; far from working to eradicate violence and the actions of gang groups, but they made truces with the gangs Barrio 18, and Mara Salvatrucha, to keep a certain control over criminal activities, and murders in the Salvadoran territory. In response to this, the government has set up countless programs to try to guide the youth away from gang membership; so far its efforts have not produced any quick results. One of the government programs was a gang reform called "Super Mano Dura" (Super Firm Hand). Super Mano Dura had little success and was highly criticized by the United Nations. It experienced temporary success in 2004 but there was a rise in crime after 2005. In 2004, there were 41 intentional homicides per 100,000 citizens, with 60% of the homicides committed being gang-related. In 2012, the homicide rate had increased to 66 per 100,000 inhabitants, more than triple the rate in Mexico. There are an estimated 25,000 gang members at large in El Salvador with another 9,000 in prison. The most well-known gangs, called "maras" in colloquial Spanish, are Mara Salvatrucha and their rivals Barrio 18. Maras are hunted by death squads including Sombra Negra. New rivals also include the rising mara, The Rebels 13. , El Salvador has seen a 40% drop in crime due to what the Salvadoran government called a gang truce; however, extortion affecting small businesses are not taken into account. In early 2012, there were an average of 16 killings per day; in late March of that year that number dropped to fewer than 5 per day. On 14 April 2012 for the first time in over 3 years there were no killings in El Salvador. Overall, there were 411 killings in January 2012, and in March the number was 188, more than a 40% reduction, while crime in neighbouring Honduras had risen to an all-time high. In 2014, crime rose 56% in El Salvador, with the government attributing the rise to a break in the truce between the two major gangs in El Salvador, which began having turf wars. The 2015 is considered the most violent in El Salvador in the postwar period. With a total of 6,650 homicides in 365 days; that means an average of 18.23 murders per day. Since that year the figures have been drastically decreasing until reaching 2021. During 2016 at least 5,728 people were murdered in El Salvador, so that means an average of 15.69 murders per day. El Salvador finished the 2017 with an average of 11 homicides per day. Which means there were a total of 3,962 murders per day. In 2018 there was a decrease of 616 murders in relation to 2017. The year closed with 3,348 deaths. Which means that there was an average of 9.19 murders per day in the span of 365 days. Coming up to 2019. Authorities reported a total of 2,365 homicides. So that means an average of 6.47 murders per day. Culture Pulling from indigenous, colonial Spanish and African influences, a composite population was formed as a result of intermarrying between the natives, European settlers, and enslaved Africans. The Catholic Church plays an important role in the Salvadoran culture. Archbishop Óscar Romero is a national hero for his role in resisting human rights violations that were occurring in the lead-up to the Salvadoran Civil War. Significant foreign personalities in El Salvador were the Jesuit priests and professors Ignacio Ellacuría, Ignacio Martín-Baró, and Segundo Montes, who were murdered in 1989 by the Salvadoran Army during the height of the civil war. Painting, ceramics and textiles are the principal manual artistic mediums. Writers Francisco Gavidia, Salarrué (Salvador Salazar Arrué), Claudia Lars, Alfredo Espino, Pedro Geoffroy Rivas, Manlio Argueta, José Roberto Cea, and poet Roque Dalton are important writers from El Salvador. Notable 20th-century personages include the late filmmaker Baltasar Polio, female film director Patricia Chica, artist Fernando Llort, and caricaturist Toño Salazar. Among the more renowned representatives of the graphic arts are the painters Augusto Crespin, Noe Canjura, Carlos Cañas, Giovanni Gil, Julia Díaz, Mauricio Mejia, Maria Elena Palomo de Mejia, Camilo Minero, Ricardo Carbonell, Roberto Huezo, Miguel Angel Cerna, (the painter and writer better known as MACLo), Esael Araujo, and many others. Cuisine One of El Salvador's notable dishes is the pupusa. Pupusas are handmade corn tortillas (made of masa de maíz or masa de arroz, a maize or rice flour dough used in Latin American cuisine) stuffed with one or more of the following: cheese (usually a soft Salvadoran cheese such as quesillo, similar to mozzarella), chicharrón, or refried beans. Sometimes the filling is queso con loroco (cheese combined with loroco, a vine flower bud native to Central America). Pupusas revueltas are pupusas filled with beans, cheese and pork. There are also vegetarian options. Some adventurous restaurants even offer pupusas stuffed with shrimp or spinach. The name pupusa comes from the Pipil-Nahuatl word, pupushahua. The origins of the pupusa are debated, although its presence in El Salvador is known to predate the arrival of the Spaniards. In El Salvador, the pupusa is considered a Mesoamerican ancestral legacy and the most popular dish nationally. It has been designated as the "National Dish of El Salvador" via the Legislative Decree no. 655 in the Salvadoran Constitution. The decree also indicates that every second Sunday in November, the country will celebrate the "National Day of the Pupusas". Two other typical Salvadoran dishes are yuca frita and panes con pollo. Yuca frita is deep fried cassava root served with curtido (a pickled cabbage, onion and carrot topping) and pork rinds with pescaditas (fried baby sardines). Yuca is sometimes served boiled instead of fried. Pan con pollo/pavo (bread with chicken/turkey) are warm turkey or chicken-filled submarine sandwiches. The bird is marinated and then roasted with spices and hand-pulled. This sandwich is traditionally served with tomato and watercress along with cucumber, onion, lettuce, mayonnaise, and mustard. One of El Salvador's typical breakfasts is fried plantain, usually served with cream. It is common in Salvadoran restaurants and homes, including those of immigrants to the United States. Alguashte, a condiment made from dried, ground pepitas, is commonly incorporated into savoury and sweet Salvadoran dishes. "Maria Luisa" is a dessert commonly found in El Salvador. It is a layered cake that is soaked in orange marmalade and sprinkled with powdered sugar. One of the most popular desserts is the cake Pastel de tres leches (Cake of three milks), consisting of three types of milk: evaporated milk, condensed milk, and cream. A popular drink that Salvadorans enjoy is horchata. Horchata is most commonly made of the morro seed ground into a powder and added to milk or water, and sugar. Horchata is drank year-round, and can be drank at any time of day. It mostly is accompanied by a plate of pupusas or fried yuca. Horchata from El Salvador has a very distinct taste and is not to be confused with Mexican horchata, which is rice-based. Coffee is also a common morning beverage. Other popular drinks in El Salvador include ensalada, a drink made of chopped fruit swimming in fruit juice, and Kolachampan, a sugar cane-flavoured carbonated beverage. Music Traditional Salvadoran music is a mixture of indigenous, Spanish, and African influences. It includes religious songs (mostly used to celebrate Christmas and other holidays, especially feast days of the saints). Other musical repertoire consists of danza, pasillo, marcha and cancione which are composed of parading bands, street performances, or onstage dances, either in groups or paired. Satirical and rural lyrical themes are common. Traditional instruments used are the marimba, tepehuaste, flutes, drums, scrapers and gourds, as well as guitars among others. El Salvador's well known folk dance is known as Xuc which originated in Cojutepeque, Cuscatlan. Caribbean, Colombian, and Mexican music has become customary listening radio and party in the country, especially boleros, cumbia, merengue, Latin pop, salsa, bachata, and reggaeton. Sport Football is the most popular sport in El Salvador. The El Salvador national football team qualified for the FIFA World Cup in 1970 and 1982. Their qualification for the 1970 tournament was marred by the Football War, a war against Honduras, whose team El Salvador's had defeated. The national football team play at the Estadio Cuscatlán in San Salvador. It opened in 1976 and seats 53,400, making it the largest stadium in Central America and the Caribbean. See also Index of El Salvador–related articles Outline of El Salvador List of Salvadorans Health in El Salvador References Further reading "Background Notes", Background Notes: El Salvador, January 2008. Retrieved 6 March 2008. Bonner, Raymond. Weakness and Deceit: U.S. Policy and El Salvador. New York: Times Books, 1984. CIA World Factbook, "El Salvador", 28 February 2008. Retrieved 6 March 2008. "Country Specific Information", U.S. State Department, 3 October 2007. Retrieved 6 March 2008. Danner, Mark. The Massacre at El Mozote: A Parable of the Cold War. New York: Vintage Books, 1994. Foley, Erin. 'Cultures of the world, El Salvador. 1995 Montgomery, Tommie Sue. Revolution in El Salvador: From Civil Strife to Civil Peace. Boulder, Colorado: Westview Press, 1995. Stadler, Sidney. It Started with an Oyster: The Memoirs of Sidney M. Stadler, CBE. Penna Press 1975. Autobiography of a British businessman and diplomat in El Salvador, with much on Salvadoran society and politics from the 1920s to 1950s. Vilas, Carlos. Between Earthquakes and Volcanoes: Market, State, and the Revolution America. New York: Monthly Review Press. 1995. External links Embassy of El Salvador in London – Content rich site about every aspect of Salvadoran life, government, business, and politics. Chief of State and Cabinet Members El Salvador. The World Factbook. Central Intelligence Agency. El Salvador at UCB Libraries GovPubs El Salvador profile from the BBC News Salvadoran American Humanitarian Foundation (SAHF) Fundacion Salvadoreña Para la Salud y el Desarollo Humano (FUSAL) Key Development Forecasts for El Salvador from International Futures World Bank Summary Trade Statistics El Salvador Teaching Central America 1821 establishments in North America Countries in North America Countries in Central America Former Spanish colonies Current member states of the United Nations Republics Spanish-speaking countries and territories States and territories established in 1821 Northern Triangle of Central America Christian states
9364
https://en.wikipedia.org/wiki/Armed%20Forces%20of%20El%20Salvador
Armed Forces of El Salvador
The Armed Forces of El Salvador () are the official governmental military forces of El Salvador. The Forces have three branches: the Salvadoran Army, the Salvadoran Air Force and the Navy of El Salvador. History Spanish colonial rule In the 19th century, soldiers in El Salvador may have been nominally employed by the governing body. However, if not paid their wage, the soldiers would supplement their income as mercenaries and militia for local politicians and landowners. Coffee barons and militia In the late 19th century, El Salvador went through a period of internal discord. In 1871, Santiago Gonzales seized power by military coup. General Carlos Ezeta did the same in 1890 and General Rafael Gutierrez in 1894. However, these changes in power were fought between networks of rival landowners (coffee barons) and politicians under their patronage rather than between official military and government forces. La Matanza Military operations in El Salvador continued in a similar way until the early 20th century. During the Great Depression, coffee prices fell, the wages of indigenous Salvadoran workers were cut and unemployment was widespread. For three days in 1932, the indigenous workers rebelled. The ruling general, Maximiliano Hernández Martínez (1882 1966), responded with force. Under his command, the national army proper, slaughtered up to 40,000 peasants. Palm Sunday coup Twelve years of autocratic rule followed. Martínez withheld democratic and civil rights. On 2 March 1944, a Palm Sunday, the landowners, intellectuals, students and also some sections of the Salvadoran armed forces rebelled. The First Infantry Regiment and the Second Artillery Regiment of San Salvador joined the rebels as did the Garrison of Santa Ana. Santa Ana was bombed from the air. The rebellion was put down by the remaining loyal sections of the military. Reprisals of torture and execution of those who had joined the rebellion followed. Martial law was put in place. However, in May 1944, non-violent protest leading to a general strike caused Martinez to fall from power. Rebellion of 1948 During the years that followed, young military officers became increasingly dissatisfied with their situation. They saw the generals clinging to senior posts for which they had little training and without making way for the younger officers. They saw the generals failing to prepare for the social and economic changes coming to Central America. They objected to unfair disciplinary measures and unfair surveillance. In 1948, fighting broke out between the younger officers and troops under their command and the senior generals and the police force under their command. The president, Salvador Castaneda Castro (1888 1965) was imprisoned. Senior officers and politicians were dismissed. The new government promoted the formation of a truly national, apolitical and professional army in El Salvador. American influence and the Cold War From 1947 to 1953, El Salvador held an agreement with the US whereby an American military aviation mission would be sent to El Salvador; El Salvador would seek advice from the US preferentially and purchase arms from the US. Some Salvadoran military officers were trained in North America and the Panama Canal Zone. Nevertheless, the amount of American military aid purchased by El Salvador in the 1950s was small; just enough in munitions and light arms to suppress internal conflict such as communist activity. In the 1950s, Salvadoran men underwent one year of national service before being discharged to a reserve army. They then underwent further training on a regular basis and could be called to join active provincial patrols (patrullas cantonalles). Regular meetings of the men were held reinforcing loyalty to the nation and opposition to communism. Men from disadvantaged circumstances were offered monetary and practical assistance and education for their children. The number of reservists grew to approximately 40,000. In the 1960s, a junta of conservative military officers and landowners took power in a coup and then organised elections. In 1961, the junta's candidate Lieutenant Colonel Julio Adalberto Rivera was elected president. In 1967, Colonel Fidel Sanchez Hernandez became president. Football war In 1969, tensions between El Salvador and Honduras increased. There was dispute concerning the border between the two countries. Approximately 300,000 Salvadorans had moved to Honduras due to population and land pressures in their homeland but Honduras had not renewed the El Salvador – Honduras Bilateral Treaty on Immigration. Honduras and El Salvador were competitors in the Central American Common Market. Honduras' economy was struggling and the Honduran Government started to deport the Salvadorans who they saw as illegal immigrants. Many Salvadorans fled after their Vice Consul was killed. In June 1969, El Salvador played three games against Honduras in the qualifying rounds of the World Cup. Then, on 26 June 1969, El Salvador won a play-off game 3 goals to 2 against Haiti, taking a place in the cup finals. On 14 July 1969, armed hostilities began between El Salvador and Honduras. Due to the war's proximity to the World Cup qualifying games, it was called the "Football War" or the "Soccer War". At this time, the Salvadoran forces included approximately 8,000 infantrymen with rifles, machine guns, mortars and bazookas, 105 mm cannons and a few armoured personnel carriers. Very few arms were manufactured in El Salvador. Most arms were supplied by the US. Honduras' infantry was smaller and less well equipped. The Salvadoran Air Force, flying P-51 Mustangs, attacked Honduran targets and vice versa, but each air force had only a few working aeroplanes and was hampered by a lack of spare parts. El Salvador's infantry forces invaded Honduras and took Ocotepeque. As Salvadoran troops approached Tegucigalpa, their supply lines failed, they became exhausted and were slowed by heavy rainfall, and their morale fell. On July 18, 1969, the Organization of American States (OAS) organised a ceasefire. Then as economic sanctions and an arms embargo took effect, both sides. The war lasted for four days and therefore is also called the "one hundred hour war". Civil War The Salvadoran Civil War was fought between 1979 and 1992. The Salvadoran armed forces fought the Frente Farabundo Marti para la Liberacion Nacional (FMLN), a coalition of insurgent guerrilla groups. The war began when a reformist government was suppressed by hard line military elements and by landowners. Between 1980 and 1983, the Salvadoran armed forces were driven out of territory controlled by large FMLN groups in rural areas. The FMLN membership later increased to over 12,000 when the organisation was able to provide local governance and services. The government responded with counter-insurgency actions including the assassination of the archbishop, Oscar Romero (1917 1980). In late 1981, soldiers of the national armed forces' Atlacatl Battalion, a rapid response troop, killed 900 civilians at El Mozote. This was one of a number of actions including rapes, bashings, torture and killings. Men of this battalion were graduates of the US School of the Americas at Fort Benning, Columbus, Georgia. Another atrocity occurred on 16 November 1989. Army soldiers murdered six Jesuit priests, their housekeeper and her daughter at the Central American University. In 1989, the armed forces of El Salvador had raised 56,000 fighting men with 63 aeroplanes and 72 helicopters. Between 1983 and 1987, El Salvador's military forces received over 100 million dollars per year from the US. In 1990, at the end of the Cold War, the US restricted funding to the Salvadoran military. The US found its rigorous measures against left wing groups were no longer needed. This and the lack of advantage on either side led to the end of the war in 1992. Under the terms of the Chapultepec Peace Accords which had been signed on 16 January 1992 in Chapultepec, Mexico, the Salvadoran Armed Forces was to be subordinated and removed from the political arena. The Ministry of Defense handed the role of internal security to a new body, the National Police Force. The number of soldiers in the Armed Forces was reduced by half. Counter-insurgency forces were demobilised. Military intelligence units reported directly to the president. The constitutional mission, doctrine and recruitment and educational systems of the Armed Forces were redefined. During the civil war, military and right wing paramilitary death squads used exemplary violence with murder and mutilation, massacre and forced displacement to gain control of the populace. In 1993, a General Amnesty Law was passed by the Salvadoran government. Victims of human rights violations had no redress. International human rights entities such as the UNHCR made formal objections to the law. Spain found jurisdiction in the matter and indicted twenty retired soldiers who were officers at the time of the killings. For many reasons, the armed forces resisted the application of the requirement of the Peace Accord. Junior officers who had volunteered to work in security units did not want to be treated as raw army recruits when their units disbanded. Senior officers feared the autonomy of the military's core activities, such as training, would be lost. Military leaders feared that the loss of military units in rural areas would lead to social and political unrest. The civilian population feared that officers purged from military ranks for human rights violations would join right wing paramilitary organisations. Post civil war From 2003 to January 2009, the Salvadoran armed forces were part of the Multi-National Force – Iraq. El Salvador deployed more than 500 troops, mostly paratroopers and special forces. During the conflict, five Salvadoran soldiers were killed in action and more than 50 were wounded. Salvadoran forces operated next to the Spanish Legion and the U.S. Army. They were well regarded by both Spanish and U.S. forces. The last of the Salvadoran forces withdrew from Iraq in 2009. They were the last Central Americans allies to withdraw from the conflict. In 2016, a new armed force was raised in El Salvador with the remit of stopping criminal gangs (especially MS-13) and narcotrafficking. In 2017, the strength of the Salvadoran armed forces was estimated to be 47,000 men. Structure The Salvadoran armed forces are a combat force composed of army, navy and air force each led by their Chief of the General Staff. The support units are a military education and doctrine command, a logistics support command, a military health command, a military special security brigade and a directorate general of recruitment and reserves. The duties of the Salvadoran Armed Force is described in articles 211 and 212 of the Constitution of 1983. It is the duty of the armed forces to defend national territory and sovereignty; maintain public peace, tranquillity, and security; and to support democracy. Article 212 describes the armed forces as a 'fundamental institution for national security, of a permanent character, apolitical, obedient to established civilian authority, and non-deliberative". It also charges the military with enforcing the no-reelection provision of the country's president; with guaranteeing universal suffrage, human rights;and with working with the executive branch of government in promoting national development The Commander in Chief of the Armed Forces is the president. Reporting to the president is the Ministry of Defence. Members of the ministry advise the Secretary of State and the Joint Chiefs of Staff. The military provides a panel composed of the Chiefs of the General Staff and military experts who provide the ministry with technical advice for policy making and strategic planning. Oversight of the military is provided by the Assistant Inspector General of the Armed Forces. Within the military leadership are operating units, tactical units and advisory bodies. The operating units build on operational plans. The tactical units include detachments, training centers and forces of the army at the battalion level. The combat recognition and transport groups make up the Air Force tactical unit. The Navy uses transport and hydrographic tactical units. Medals Among the highest military decorations in the Salvadoran Armed Forces are the Gold Cross of War Heroism in Action; the Silver Cross of Heroism; the gold medal for Courage in Action; and the Silver Medal of Valor. for such actions, there may be a monetary payment in addition to the armed forces pension. There are other honours for field service, distinguished service, and merit. See also Football War Salvadoran Civil War References External links
9366
https://en.wikipedia.org/wiki/Equatorial%20Guinea
Equatorial Guinea
Equatorial Guinea (; ; ), officially the Republic of Equatorial Guinea (, , ), is a country on the west coast of Central Africa, with an area of . Formerly the colony of Spanish Guinea, its post-independence name evokes its location near both the Equator and the Gulf of Guinea. , the country had a population of 1,468,777. Equatorial Guinea consists of two parts, an insular and a mainland region. The insular region consists of the islands of Bioko (formerly Fernando Pó) in the Gulf of Guinea and Annobón, a small volcanic island which is the only part of the country south of the equator. Bioko Island is the northernmost part of Equatorial Guinea and is the site of the country's capital, Malabo. The Portuguese-speaking island nation of São Tomé and Príncipe is located between Bioko and Annobón. The mainland region, Río Muni, is bordered by Cameroon on the north and Gabon on the south and east. It is the location of Bata, Equatorial Guinea's largest city, and Ciudad de la Paz, the country's planned future capital. Rio Muni also includes several small offshore islands, such as Corisco, Elobey Grande, and Elobey Chico. The country is a member of the African Union, Francophonie, OPEC and the CPLP. After becoming independent from Spain in 1968, Equatorial Guinea was ruled by President for life Francisco Macías Nguema until he was overthrown in a coup in 1979 by his nephew Teodoro Obiang Nguema Mbasogo who has served as the country's president since. Both presidents have been widely characterized as dictators by foreign observers. Since the mid-1990s, Equatorial Guinea has become one of sub-Saharan Africa's largest oil producers. It has subsequently become the richest country per capita in Africa, and its gross domestic product (GDP) adjusted for purchasing power parity (PPP) per capita ranks 43rd in the world; however, the wealth is distributed extremely unevenly, with few people benefiting from the oil riches. The country ranks 144th on the 2019 Human Development Index, with less than half the population having access to clean drinking water and around 1 in 12 children dying before the age of five. Equatorial Guinea gained its independence from Spain on 12 October 1968, but maintains Spanish as its official language alongside French and recently (as of 2010) Portuguese, being the only African country (aside from the largely unrecognized Sahrawi Arab Democratic Republic) where Spanish is an official language. It is also the most widely spoken language (considerably more than the other two official languages); according to the Instituto Cervantes, 87.7% of the population has a good command of Spanish. Equatorial Guinea's government is authoritarian and has one of the worst human rights records in the world, consistently ranking among the "worst of the worst" in Freedom House's annual survey of political and civil rights. Reporters Without Borders ranks President Obiang among its "predators" of press freedom. Human trafficking is a significant problem, with the U.S. Trafficking in Persons Report identifying Equatorial Guinea as a source and destination country for forced labour and sex trafficking. The report also noted that Equatorial Guinea "does not fully meet the minimum standards for the elimination of trafficking but is making significant efforts to do so." History Pygmies probably once lived in the continental region that is now Equatorial Guinea, but are today found only in isolated pockets in southern Río Muni. Bantu migrations started probably around 2,000 BC from between south-east Nigeria and north-west Cameroon (the Grassfields). They must have settled continental Equatorial Guinea around 500 BC at the latest. The earliest settlements on Bioko Island are dated to AD 530. The Annobón population, originally native to Angola, was introduced by the Portuguese via São Tomé island. First European contact and Portuguese rule (1472–1778) The Portuguese explorer Fernando Pó, seeking a path to India, is credited as being the first European to see the island of Bioko, in 1472. He called it Formosa ("Beautiful"), but it quickly took on the name of its European discoverer. Fernando Pó and Annobón were colonized by Portugal in 1474. The first factories were established on the islands around 1500 as the Portuguese quickly recognized the positives of the islands including volcanic soil and disease-resistant highlands. Despite natural advantages, initial Portuguese efforts in 1507 to establish a sugarcane plantation and town near what is now Concepción on Fernando Pó failed due to Bubi hostility and fever. The main island's rainy climate, extreme humidity and temperature swings took a major toll on European settlers from the beginning, and it would be centuries before attempts restarted. Early Spanish rule and lease to Britain (1778–1844) In 1778, Queen Maria I of Portugal and King Charles III of Spain signed the Treaty of El Pardo which ceded Bioko, adjacent islets, and commercial rights to the Bight of Biafra between the Niger and Ogoue rivers to Spain in exchange for large areas in South America that are now Western Brazil. Brigadier Felipe José, Count of Arjelejos sailed from Uruguay to formally take possession of Bioko from Portugal, landing on the island on 21 October 1778. After sailing for Annobón to take possession, the Count died of disease caught on Bioko and the fever-ridden crew mutinied. The crew landed on São Tomé instead where they were imprisoned by the Portuguese authorities after having lost over 80% of their men to sickness. As a result of this disaster, Spain was thereafter hesitant to invest heavily in its new possession. However, despite the setback Spaniards began to use the island as a base for slave trading on the nearby mainland. Between 1778 and 1810, the territory of what became Equatorial Guinea was administered by the Viceroyalty of the Río de la Plata, based in Buenos Aires. Unwilling to invest heavily in the development of Fernando Pó, from 1827 to 1843, the Spanish leased a base at Malabo on Bioko to the United Kingdom which the UK had sought as part of its efforts to suppress the transatlantic slave trade. Without Spanish permission, the British moved the headquarters of the Mixed Commission for the Suppression of Slave Traffic to Fernando Pó in 1827, before moving it back to Sierra Leone under an agreement with Spain in 1843. Spain's decision to abolish slavery in 1817 at British insistence damaged the colony's perceived value to the authorities and so leasing naval bases was an effective revenue earner from an otherwise unprofitable possession. An agreement by Spain to sell its African colony to the British was cancelled in 1841 due to metropolitan public opinion and opposition by Spanish Congress. Late 19th century (1844–1900) In 1844, the British returned the island to Spanish control and the area became known as the "Territorios Españoles del Golfo de Guinea." Due to epidemics Spain did not invest much in the colony, and in 1862 an outbreak of yellow fever killed many of the whites that had settled on the island. Despite this, plantations continued to be established by private citizens through the second half of the 19th century. The plantations of Fernando Pó were mostly run by a black Creole elite, later known as Fernandinos. The British settled some 2,000 Sierra Leoneans and freed slaves there during their rule, and a trickle of immigration from West Africa and the West Indies continued after the British left. A number of freed Angolan slaves, Portuguese-African creoles and immigrants from Nigeria and Liberia also began to be settled in the colony where they quickly began to join the new group. To the local mix were added Cubans, Filipinos, Jews and Spaniards of various colours, many of whom had been deported to Africa for political or other crimes, as well as some settlers backed by the government. By 1870 the prognosis of whites that lived on the island was much improved after recommendations that they live in the highlands, and by 1884 much of the minimal administrative machinery and key plantations had moved to Basile hundreds of meters above sea level. Henry Morton Stanley had labeled Fernando Pó "a jewel which Spain did not polish" for refusing to enact such a policy. Despite the improved survival chances of Europeans living on the island, Mary Kingsley, who was staying on the island still described Fernando Pó as 'a more uncomfortable form of execution' for Spaniards appointed there. There was also a trickle of immigration from the neighboring Portuguese islands, escaped slaves, and prospective planters. Although a few of the Fernandinos were Catholic and Spanish-speaking, about nine-tenths of them were Protestant and English-speaking on the eve of the First World War, and pidgin English was the lingua franca of the island. The Sierra Leoneans were particularly well placed as planters while labor recruitment on the Windward coast continued, for they kept family and other connections there and could easily arrange a supply of labor. The Fernandinos proved to become effective traders and middlemen between the natives and Europeans. A freed slave from the West Indies by way of Sierra Leone named William Pratt established the cocoa crop on Fernando Pó, forever altering the destiny of the colony. Early 20th century (1900–1945) Spain had not occupied the large area in the Bight of Biafra to which it had right by treaty, and the French had busily expanded their occupation at the expense of the territory claimed by Spain. Madrid only partly backed the explorations of men like Manuel Iradier who had signed treaties in the interior as far as Gabon and Cameroon, leaving much of the land out of 'effective occupation' as demanded by the terms of the 1885 Berlin Conference. More important events such as the conflict in Cuba and the eventual Spanish–American War kept Madrid busy at an inopportune moment. Minimal government backing for mainland annexation came as a result of public opinion and a need for labour on Fernando Pó. The eventual treaty of Paris in 1900 left Spain with the continental enclave of Rio Muni, a mere 26,000 km out of the 300,000 stretching east to the Ubangi river which the Spaniards had initially claimed. The tiny enclave was far smaller than what the Spaniards had considered themselves rightfully entitled to under their claims and the Treaty of El Pardo. The humiliation of the Franco-Spanish negotiations, combined with the disaster in Cuba led to the head of the Spanish negotiating team, Pedro Gover y Tovar committing suicide on the voyage home on 21 October 1901. Iradier himself died in despair in 1911, and it would be decades before his achievements would be recognised by Spanish popular opinion when the port of Cogo was renamed Puerto Iradier in his honour. The opening years of the twentieth century saw a new generation of Spanish immigrants. Land regulations issued in 1904–1905 favoured Spaniards, and most of the later big planters arrived from Spain after that. An agreement made with Liberia in 1914 to import cheap labor greatly favoured wealthy men with ready access to the state, and the shift in labor supplies from Liberia to Río Muni increased this advantage. Due to malpractice however, the Liberian government eventually ended the treaty after embarrassing revelations about the state of Liberian workers on Fernando Pó in the Christy Report which brought down the country's president Charles D. B. King in 1930. In 1940, an estimated 20% of the colony's cocoa production came from African-owned land, nearly all of it was in the hands of Fernandinos. The greatest constraint to economic development was a chronic shortage of labour. Pushed into the interior of the island and decimated by alcohol addiction, venereal disease, smallpox, and sleeping sickness, the indigenous Bubi population of Bioko refused to work on plantations. Working their own small cocoa farms gave them a considerable degree of autonomy. By the late nineteenth century, the Bubi were protected from the demands of the planters by Spanish Claretian missionaries, who were very influential in the colony and eventually organised the Bubi into little mission theocracies reminiscent of the famous Jesuit reductions in Paraguay. Catholic penetration was furthered by two small insurrections in 1898 and 1910 protesting conscription of forced labour for the plantations. The Bubi were disarmed in 1917, and left dependent on the missionaries. Serious labour shortages were temporarily solved by a massive influx of refugees from German Kamerun, along with thousands of white German soldiers who stayed on the island for several years. Between 1926 and 1959 Bioko and Rio Muni were united as the colony of Spanish Guinea. The economy was based on large cacao and coffee plantations and logging concessions and the workforce was mostly immigrant contract labour from Liberia, Nigeria, and Cameroun. Between 1914 and 1930, an estimated 10,000 Liberians went to Fernando Po under a labour treaty that was stopped altogether in 1930. With Liberian workers no longer available, planters of Fernando Po turned to Rio Muni. Campaigns were mounted to subdue the Fang people in the 1920s, at the time that Liberia was beginning to cut back on recruitment. There were garrisons of the colonial guard throughout the enclave by 1926, and the whole colony was considered 'pacified' by 1929. The Spanish Civil War had a major impact on the colony. 150 Spanish whites, including the Governor-General and Vice-Governor-General of Río Muni created a socialist party called the Popular Front in the enclave which served to oppose the interests of the Fernando Pó plantation owners. When the War broke out Francisco Franco ordered Nationalist forces based in the Canaries to ensure control over Equatorial Guinea. In September 1936 Nationalist forces backed by Falangists from Fernando Pó, similarly to what happened in Spain proper took control of Río Muni, which under Governor-General Luiz Sanchez Guerra Saez and his deputy Porcel had backed the Republican government. By November the Popular Front and its supporters had been defeated and Equatorial Guinea secured for Franco. The commander in charge of the occupation, Juan Fontán Lobé was appointed Governor-General by Franco and began to exert more effective Spanish control over the enclave interior. Rio Muni had a small population, officially a little over 100,000 in the 1930s, and escape across the frontiers into Cameroun or Gabon was very easy. Also, the timber companies needed increasing numbers of workers, and the spread of coffee cultivation offered an alternative means of paying taxes. Fernando Pó thus continued to suffer from labour shortages. The French only briefly permitted recruitment in Cameroun, and the main source of labour came to be Igbo smuggled in canoes from Calabar in Nigeria. This resolution to the worker shortage allowed Fernando Pó to become one of Africa's most productive agricultural areas after the Second World War. Final years of Spanish rule (1945–1968) Politically, post-war colonial history has three fairly distinct phases: up to 1959, when its status was raised from 'colonial' to 'provincial', following the approach of the Portuguese Empire; between 1960 and 1968, when Madrid attempted a partial decolonisation aimed at keeping the territory as part of the Spanish system; and from 1968 on, after the territory became an independent republic. The first phase consisted of little more than a continuation of previous policies; these closely resembled the policies of Portugal and France, notably in dividing the population into a vast majority governed as 'natives' or non-citizens, and a very small minority (together with whites) admitted to civic status as emancipados, assimilation to the metropolitan culture being the only permissible means of advancement. This 'provincial' phase saw the beginnings of nationalism, but chiefly among small groups who had taken refuge from the Caudillos paternal hand in Cameroun and Gabon. They formed two bodies: the Movimiento Nacional de Liberación de la Guinea (MONALIGE), and the Idea Popular de Guinea Ecuatorial (IPGE). The pressure they could bring to bear was weak, but the general trend in West Africa was not, and by the late 1960s much of the African continent had been granted independence. Aware of this trend, the Spanish began to increase efforts to prepare the country for independence and massively stepped up development. The Gross National Product per capita in 1965 was $466 which was the highest in black Africa, and the Spanish constructed an international airport at Santa Isabel, a television station and increased the literacy rate to a relatively high 89%. At the same time measures were taken to battle sleeping sickness and leprosy in the enclave, and by 1967 the number of hospital beds per capita in Equatorial Guinea was higher than Spain itself, with 1637 beds in 16 hospitals. All the same, measures to improve education floundered and like in the Democratic Republic of Congo by the end of colonial rule the number of Africans in higher education was in only the double digits, and political education necessary to a functioning state was negligible. A decision of 9 August 1963, approved by a referendum of 15 December 1963, gave the territory a measure of autonomy and the administrative promotion of a 'moderate' group, the (MUNGE). This proved a feeble instrument, and, with growing pressure for change from the UN, Madrid was gradually forced to give way to the currents of nationalism. Two General Assembly resolutions were passed in 1965 ordering Spain to grant independence to the colony, and in 1966 a UN Commission toured the country before recommending the same thing. In response, the Spanish declared that they would hold a constitutional convention on 27 October 1967 to negotiate a new constitution for an independent Equatorial Guinea. The conference was attended by 41 local delegates and 25 Spaniards. The Africans were principally divided between Fernandinos and Bubi on one side, who feared a loss of privileges and 'swamping' by the Fang majority, and the Río Muni Fang nationalists on the other. At the conference the leading Fang figure, the later first president Francisco Macías Nguema gave a controversial speech in which he claimed that Adolf Hitler had 'saved Africa'. After nine sessions the conference was suspended due to deadlock between the 'unionists' and 'separatists' who wanted a separate Fernando Pó. Macías resolved to travel to the UN to bolster international awareness of the issue, and his firebrand speeches in New York contributed to Spain naming a date for both independence and general elections. In July 1968 virtually all Bubi leaders went to the UN in New York to try and raise awareness for their cause, but the world community was uninterested in quibbling over the specifics of colonial independence. The 1960s were a time of great optimism over the future of the former African colonies, and groups that had been close to European rulers, like the Bubi, were not viewed positively. Independence under Macías (1968–1979) Independence from Spain was gained on 12 October 1968, at noon in the capital, Malabo. The new country became the Republic of Equatorial Guinea (the date is celebrated as the country's Independence Day). Macías became president in the country's only free and fair election. The Spanish (ruled by Franco) had backed Macías in the election due to his perceived loyalty, however while on the campaign trail he had proven to be far less easy to handle than they had expected. Much of his campaigning involved visiting rural areas of Río Muni and promising young Fang that they would have the houses and wives of the Spanish if they voted for him. In the towns he had instead presented himself as the urbane leader who had bested the Spanish at the UN, and he had won in the second round of voting; greatly helped by the vote-splitting of his rivals. The euphoria of independence became quickly overshadowed by problems emanating from the Nigerian Civil War. Fernando Pó was inhabited by many Biafra-supporting Ibo migrant workers and many refugees from the breakaway state fled to the island, straining it to breaking point. The International Committee of the Red Cross began running relief flights out of Equatorial Guinea, but Macías quickly became spooked and shut the flights down, refusing to allow them to fly diesel fuel for their trucks nor oxygen tanks for medical operations. Very quickly the Biafran separatists were starved into submission without international backing. After the Public Prosecutor complained about "excesses and maltreatment" by government officials, Macías had 150 alleged coup-plotters executed in a purge on Christmas Eve 1969, all of whom happened to be political opponents. Macias Nguema further consolidated his totalitarian powers by outlawing opposition political parties in July 1970 and making himself president for life in 1972. He broke off ties with Spain and the West. In spite of his condemnation of Marxism, which he deemed "neo-colonialist", Equatorial Guinea maintained very special relations with communist states, notably China, Cuba, and the USSR. Macias Nguema signed a preferential trade agreement and a shipping treaty with the Soviet Union. The Soviets also made loans to Equatorial Guinea. The shipping agreement gave the Soviets permission for a pilot fishery development project and also a naval base at Luba. In return the USSR was to supply fish to Equatorial Guinea. China and Cuba also gave different forms of financial, military, and technical assistance to Equatorial Guinea, which got them a measure of influence there. For the USSR, there was an advantage to be gained in the War in Angola from access to Luba base and later on to Malabo International Airport. In 1974 the World Council of Churches affirmed that large numbers of people had been murdered since 1968 in an ongoing reign of terror. A quarter of the entire population had fled abroad, they said, while 'the prisons are overflowing and to all intents and purposes form one vast concentration camp'. Out of a population of 300,000, an estimated 80,000 were killed. Apart from allegedly committing genocide against the ethnic minority Bubi people, Macias Nguema ordered the deaths of thousands of suspected opponents, closed down churches and presided over the economy's collapse as skilled citizens and foreigners fled the country. Obiang (1979–present) The nephew of Macías Nguema, Teodoro Obiang deposed his uncle on 3 August 1979, in a bloody coup d'état; over two weeks of civil war ensued until Macías Nguema was captured. He was tried and executed soon afterward, with Obiang succeeding him as a less bloody, but still authoritarian president. In 1995 Mobil, an American oil company, discovered oil in Equatorial Guinea. The country subsequently experienced rapid economic development, but earnings from the country's oil wealth have not reached the population and the country ranks low on the UN human development index. Around 1 in 12 children die before the age of 5 and more than 50% of the population lacks access to clean drinking water. President Teodoro Obiang is widely suspected of using the country's oil wealth to enrich himself and his associates. In 2006, Forbes estimated his personal wealth at $600 million. In 2011, the government announced it was planning a new capital for the country, named Oyala. The city was renamed Ciudad de la Paz ("City of Peace") in 2017. , Obiang is Africa's second-longest serving dictator after Cameroon's Paul Biya. On 7 March 2021, there were munition explosions at a military base near the city of Bata causing 98 deaths and 600 people being injured and treated at the hospital. Government and politics The current president of Equatorial Guinea is Teodoro Obiang. The 1982 constitution of Equatorial Guinea gives him extensive powers, including naming and dismissing members of the cabinet, making laws by decree, dissolving the Chamber of Representatives, negotiating and ratifying treaties and serving as commander in chief of the armed forces. Prime Minister Francisco Pascual Obama Asue was appointed by Obiang and operates under powers delegated by the President. During the four decades of his rule, Obiang has shown little tolerance for opposition. While the country is nominally a multiparty democracy, its elections have generally been considered a sham. According to Human Rights Watch, the dictatorship of President Obiang used an oil boom to entrench and enrich itself further at the expense of the country's people. Since August 1979 some 12 real and perceived unsuccessful coup attempts have occurred. According to a March 2004 BBC profile, politics within the country were dominated by tensions between Obiang's son, Teodoro Nguema Obiang Mangue, and other close relatives with powerful positions in the security forces. The tension may be rooted in a power shift arising from the dramatic increase in oil production which has occurred since 1997. In 2004 a plane load of suspected mercenaries was intercepted in Zimbabwe while allegedly on the way to overthrow Obiang. A November 2004 report named Mark Thatcher as a financial backer of the 2004 Equatorial Guinea coup d'état attempt organized by Simon Mann. Various accounts also named the United Kingdom's MI6, the United States' CIA, and Spain as tacit supporters of the coup attempt. Nevertheless, the Amnesty International report released in June 2005 on the ensuing trial of those allegedly involved highlighted the prosecution's failure to produce conclusive evidence that a coup attempt had actually taken place. Simon Mann was released from prison on 3 November 2009 for humanitarian reasons. Since 2005, Military Professional Resources Inc., a US-based international private military company, has worked in Equatorial Guinea to train police forces in appropriate human rights practices. In 2006, US Secretary of State Condoleezza Rice hailed Obiang as a "good friend" despite repeated criticism of his human rights and civil liberties record. The US Agency for International Development entered into a memorandum of understanding (MOU) with Obiang, in April 2006, to establish a social development Fund in the country, implementing projects in the areas of health, education, women's affairs and the environment. In 2006, Obiang signed an anti-torture decree banning all forms of abuse and improper treatment in Equatorial Guinea, and commissioned the renovation and modernization of Black Beach prison in 2007 to ensure the humane treatment of prisoners. However, human rights abuses have continued. Human Rights Watch and Amnesty International among other non-governmental organizations have documented severe human rights abuses in prisons, including torture, beatings, unexplained deaths and illegal detention. In their most recently publishing findings (2020), Transparency International awarded Equatorial Guinea a total score of 16 on their Corruption Perceptions Index (CPI). CPI ranks countries by their perceived level of public corruption where zero is very corrupt and 100 is extremely clean. Equatorial Guinea was the 174th lowest scoring nation out of a total of 180 countries. Freedom House, a pro-democracy and human rights NGO, described Obiang as one of the world's "most kleptocratic living autocrats," and complained about the US government welcoming his administration and buying oil from it. Obiang was re-elected to serve an additional term in 2009 in an election the African Union deemed "in line with electoral law". Obiang re-appointed Prime Minister Ignacio Milam Tang in 2010. In November 2011, a new constitution was approved. The vote on the constitution was taken though neither the text nor its content was revealed to the public before the vote. Under the new constitution the president was limited to a maximum of two seven-year terms and would be both the head of state and head of the government, therefore eliminating the prime minister. The new constitution also introduced the figure of a vice president and called for the creation of a 70-member senate with 55 senators elected by the people and the 15 remaining designated by the president. Surprisingly, in the following cabinet reshuffle it was announced that there would be two vice-presidents in clear violation of the constitution that was just taking effect. In October 2012, during an interview with Christiane Amanpour on CNN, Obiang was asked whether he would step down at the end of the current term (2009–2016) since the new constitution limited the number of terms to two and he has been reelected at least 4 times. Obiang answered he refused to step aside because the new constitution was not retroactive and the two- term limit would only become applicable from 2016. The elections on 26 May 2013 combined the senate, lower house and mayoral contests all in a single package. Like all previous elections, this was denounced by the opposition and it too was won by Obiang's PDGE. During the electoral contest, the ruling party hosted internal elections which were later scrapped as none of the president's favorite candidates led the internal lists. Ultimately, the ruling party and the satellites of the ruling coalition decided to run not based on the candidates but based on the party. This created a situation where during the election the ruling party's coalition did not provide the names of their candidates so effectively individuals were not running for office, instead, the party was the one running for office. The May 2013 elections were marked by a series of events including the popular protest planned by a group of activists from the MPP (Movement of Popular Protest) which included several social and political groups. The MPP called for a peaceful protest at the Plaza de la Mujer square on 15 May. MPP coordinator Enrique Nsolo Nzo was arrested and official state media portrayed him as planning to destabilize the country and depose the president. However, despite speaking under duress and with clear signs of torture, Nsolo said that they had planned a peaceful protest and had indeed obtained all the legal authorizations required to carry out the peaceful protest. In addition to that, he firmly stated that he was not affiliated with any political party. The Plaza de la Mujer square in Malabo was occupied by the police from 13 May and it has been heavily guarded ever since. The government embarked on a censorship program that affected social sites including Facebook and other websites that were critical to the government of Equatorial Guinea. The censorship was implemented by redirecting online searches to the official government website. Shortly after the elections, opposition party CPDS announced that they were going to protest peacefully against the 26 May elections on 25 June. Interior minister Clemente Engonga refused to authorise the protest on the grounds that it could "destabilize" the country and CPDS decided to go forward, claiming constitutional right. On the night of 24 June, the CPDS headquarters in Malabo were surrounded by heavily armed police officers to keep those inside from leaving and thus effectively blocking the protest. Several leading members of CPDS were detained in Malabo and others in Bata were kept from boarding several local flights to Malabo. President Obiang's Democratic Party of Equatorial Guinea holds 99 of the 100 seats in the Chamber of Deputies and all of those in the Senate. The opposition is almost non-existent in the country and is organized from Spain mainly within the social-democratic Convergence for Social Democracy. Most of the media are under state control; the private television channels, those of the Asonga group, belong to the president's family. Armed forces The Armed Forces of Equatorial Guinea consists of approximately 2,500 service members. The army has almost 1,400 soldiers, the police 400 paramilitary men, the navy 200 service members, and the air force about 120 members. There is also a gendarmerie, but the number of members is unknown. The Gendarmerie is a new branch of the service in which training and education is being supported by the French Military Cooperation in Equatorial Guinea. Geography Equatorial Guinea is on the west coast of Central Africa. The country consists of a mainland territory, Río Muni, which is bordered by Cameroon to the north and Gabon to the east and south, and five small islands, Bioko, Corisco, Annobón, Elobey Chico (Small Elobey), and Elobey Grande (Great Elobey). Bioko, the site of the capital, Malabo, lies about off the coast of Cameroon. Annobón Island is about west-south-west of Cape Lopez in Gabon. Corisco and the two Elobey islands are in Corisco Bay, on the border of Río Muni and Gabon. Equatorial Guinea lies between latitudes 4°N and 2°S, and longitudes 5° and 12°E. Despite its name, no part of the country's territory lies on the equator—it is in the northern hemisphere, except for the insular Annobón Province, which is about south of the equator. Climate Equatorial Guinea has a tropical climate with distinct wet and dry seasons. From June to August, Río Muni is dry and Bioko wet; from December to February, the reverse occurs. In between there is gradual transition. Rain or mist occurs daily on Annobón, where a cloudless day has never been registered. The temperature at Malabo, Bioko, ranges from to , though on the southern Moka Plateau normal high temperatures are only . In Río Muni, the average temperature is about . Annual rainfall varies from at Malabo to at Ureka, Bioko, but Río Muni is somewhat drier. Ecology Equatorial Guinea spans several ecoregions. Río Muni region lies within the Atlantic Equatorial coastal forests ecoregion except for patches of Central African mangroves on the coast, especially in the Muni River estuary. The Cross-Sanaga-Bioko coastal forests ecoregion covers most of Bioko and the adjacent portions of Cameroon and Nigeria on the African mainland, and the Mount Cameroon and Bioko montane forests ecoregion covers the highlands of Bioko and nearby Mount Cameroon. The São Tomé, Príncipe, and Annobón moist lowland forests ecoregion covers all of Annobón, as well as São Tomé and Príncipe. The country had a 2018 Forest Landscape Integrity Index mean score of 7.99/10, ranking it 30th globally out of 172 countries. Wildlife Equatorial Guinea is home to gorillas, chimpanzees, various monkeys, leopards, buffalo, antelope, elephants, hippopotamuses, crocodiles, and various snakes, including pythons. Administrative divisions Equatorial Guinea is divided into eight provinces. The newest province is Djibloho, created in 2017 with its headquarters at Ciudad de la Paz, the country's future capital. The eight provinces are as follows (numbers correspond to those on the map; provincial capitals appear in parentheses): Annobón (San Antonio de Palé) Bioko Norte (Malabo) Bioko Sur (Luba) Centro Sur (Evinayong) Djibloho (Ciudad de la Paz) Kié-Ntem (Ebebiyín) Litoral (Bata) Wele-Nzas (Mongomo) The provinces are further divided into 19 districts and 37 municipalities. Economy Before independence Equatorial Guinea exported cocoa, coffee and timber, mostly to its colonial ruler, Spain, but also to Germany and the UK. On 1 January 1985, the country became the first non-Francophone African member of the franc zone, adopting the CFA franc as its currency. The national currency, the ekwele, had previously been linked to the Spanish peseta. The discovery of large oil reserves in 1996 and its subsequent exploitation contributed to a dramatic increase in government revenue. , Equatorial Guinea is the third-largest oil producer in Sub-Saharan Africa. Its oil production has risen to , up from 220,000 only two years earlier. Oil companies operating in Equatorial Guinea include ExxonMobil, Marathon Oil, Kosmos Energy and Chevron. Forestry, farming, and fishing are also major components of GDP. Subsistence farming predominates. The deterioration of the rural economy under successive brutal regimes has diminished any potential for agriculture-led growth. Agriculture is the country's main source of employment, providing income for 57% of rural households and employment for 52% of the workforce. In July 2004, the United States Senate published an investigation into Riggs Bank, a Washington based bank into which most of Equatorial Guinea's oil revenues were paid until recently, and which also banked for Chile's Augusto Pinochet. The Senate report showed at least $35 million siphoned off by Obiang, his family and regime senior officials. The president has denied any wrongdoing. Riggs Bank in February 2005 paid $9 million in restitution for Pinochet's banking, no restitution was made with regard to Equatorial Guinea. From 2000 to 2010, Equatorial Guinea had the highest average annual increase in GDP (Gross Domestic Product), 17%. Equatorial Guinea is a member of the Organization for the Harmonization of Business Law in Africa (OHADA). Equatorial Guinea is also a member of the Central African Monetary and Economic Union (CEMAC), a subregion that comprises more than 50 million people. Equatorial Guinea tried to be validated as an Extractive Industries Transparency Initiative (EITI)–compliant country, working toward transparency in reporting of oil revenues and prudent use of natural resource wealth. The country obtained candidate status on 22 February 2008. It was then required to meet a number of obligations to do so, including committing to working with civil society and companies on EITI implementation, appointing a senior individual to lead on EITI implementation, and publishing a fully costed Work Plan with measurable targets, a timetable for implementation and an assessment of capacity constraints. However, when Equatorial Guinea applied to extend the deadline for completing EITI validation, the EITI Board did not agree to the extension. According to the World Bank, Equatorial Guinea has the highest GNI (Gross National Income) per capita of any African country, 83 times larger than the GNI per capita of Burundi, the poorest country. Yet despite its impressive GNI figure, Equatorial Guinea is plagued by extreme poverty brought about by Wealth Inequality. Its Gini coefficient of 65.0 is the highest in the entire world. The economy of Equatorial Guinea was expected to grow about 2.6% in 2021, a projection based on the successful completion of a large gas project and the recovery of the world economy by the second half of the year. But the country is expected to return to recession in 2022, with a real GDP decline of about 4.4%. According to the 2016 United Nations Human Development Report, Equatorial Guinea had a gross domestic product per capita of $21,517, one of the highest levels of wealth in Africa. However, it is one of the most unequal countries in the world according to the Gini index, with 70 percent of the population living on one dollar a day. The country ranks 145th out of 189 on the United Nations Human Development Index in 2019. Hydrocarbons account for 97% of the state's exports and it is a member of the African Petroleum Producers Organization. in 2020, it faces its eighth year of recession, due in part to endemic corruption. Transportation Due to the large oil industry in the country, internationally recognized carriers fly to Malabo International Airport which, in May 2014, had several direct connections to Europe and West Africa. There are three airports in Equatorial Guinea — Malabo International Airport, Bata Airport and the new Annobón Airport on the island of Annobón. Malabo International Airport is the only international airport. Every airline registered in Equatorial Guinea appears on the list of air carriers prohibited in the European Union (EU) which means that they are banned from operating services of any kind within the EU. However, freight carriers provide service from European cities to the capital. Demographics The majority of the people of Equatorial Guinea are of Bantu origin. The largest ethnic group, the Fang, is indigenous to the mainland, but substantial migration to Bioko Island since the 20th century means the Fang population exceeds that of the earlier Bubi inhabitants. The Fang constitute 80% of the population and comprise around 67 clans. Those in the northern part of Río Muni speak Fang-Ntumu, while those in the south speak Fang-Okah; the two dialects have differences but are mutually intelligible. Dialects of Fang are also spoken in parts of neighboring Cameroon (Bulu) and Gabon. These dialects, while still intelligible, are more distinct. The Bubi, who constitute 15% of the population, are indigenous to Bioko Island. The traditional demarcation line between Fang and 'Beach' (inland) ethnic groups was the village of Niefang (limit of the Fang), east of Bata. Coastal ethnic groups, sometimes referred to as Ndowe or "Playeros" (Beach People in Spanish): Combes, Bujebas, Balengues, and Bengas on the mainland and small islands, and Fernandinos, a Krio community on Bioko Island together comprise 5% of the population. Europeans (largely of Spanish or Portuguese descent, some with partial African ancestry) also live in the country, but most ethnic Spaniards left after independence. A growing number of foreigners from neighboring Cameroon, Nigeria, and Gabon have immigrated to the country. According to the Encyclopedia of the Stateless Nations (2002) 7% of Bioko islanders were Igbo, an ethnic group from southeastern Nigeria. Equatorial Guinea received Asians and native Africans from other countries as workers on cocoa and coffee plantations. Other black Africans came from Liberia, Angola, and Mozambique. Most of the Asian population is Chinese, with small numbers of Indians. Equatorial Guinea has also been a destination for fortune-seeking European immigrants from Britain, France and Germany. Israelis and Moroccans also live and work here. Oil extraction since the 1990s has contributed to a doubling of the population in Malabo. After independence, thousands of Equatorial Guineans went to Spain. Another 100,000 Equatorial Guineans went to Cameroon, Gabon, and Nigeria because of the dictatorship of Francisco Macías Nguema. Some Equatorial Guinean communities are also found in Latin America, the United States, Portugal, and France. Languages Since its independence in 1968, Equatorial Guinea main official language is Spanish (the local variant is Equatoguinean Spanish), which acts as a lingua franca among its different ethnic groups. In 1970, during Macías' rule, Spanish was replaced by Fang, the language of its majority ethnic group, to which Macías belonged. That decision was reverted in 1979 after Macías' fall. Spanish remained as its lone official language until 1998, when French was added as its second one, as it had previously joined the Economic and Monetary Community of Central Africa (CEMAC), whose founding members are French-speaking nations, two of them (Cameroon and Gabon) surrounding its continental region. Portuguese was adopted as its third official language in 2010. Spanish has been an official language since 1844. It is still the language of education and administration. 67.6% of Equatorial Guineans can speak it, especially those living in the capital, Malabo. French was only made official in order to join the Francophonie and it is not locally spoken, except in some border towns. Aboriginal languages are recognised as integral parts of the "national culture" (Constitutional Law No. 1/1998 21 January). Indigenous languages (some of them creoles) include Fang, Bube, Benga, Ndowe, Balengue, Bujeba, Bissio, Gumu, Igbo, Pichinglis, Fa d'Ambô and the nearly extinct Baseke. Most African ethnic groups speak Bantu languages. Fa d'Ambô, a Portuguese creole, has vigorous use in Annobón Province, in Malabo (the capital), and among some speakers in Equatorial Guinea's mainland. Many residents of Bioko can also speak Spanish, particularly in the capital, and the local trade language Pichinglis, an English-based creole. Spanish is not spoken much in Annobón. In government and education Spanish is used. Noncreolized Portuguese is used as liturgical language by local Catholics. The Annobonese ethnic community tried to gain membership in the Community of Portuguese Language Countries (CPLP). The government financed an Instituto Internacional da Língua Portuguesa (IILP) sociolinguistic study in Annobón. It documented strong links with the Portuguese creole populations in São Tomé and Príncipe, Cape Verde and Guinea-Bissau. Due to historical and cultural ties, in 2010 the legislature amended article four of the Constitution of Equatorial Guinea, to establish Portuguese as an official language of the Republic. This was an effort by the government to improve its communications, trade, and bilateral relations with Portuguese-speaking countries. It also recognises long historical ties with Portugal, and with Portuguese-speaking peoples of Brazil, São Tomé and Príncipe, and Cape Verde. Some of the motivations for Equatorial Guinea's pursuit of membership in the Community of Portuguese Language Countries (CPLP) included access to several professional and academic exchange programmes and facilitated cross-border circulation of citizens. The adoption of Portuguese as an official language was the primary requirement to apply for CPLP acceptance. In addition, the country was told it must adopt political reforms allowing effective democracy and respect for human rights. The national parliament discussed this law in October 2011. In February 2012, Equatorial Guinea's foreign minister signed an agreement with the IILP on the promotion of Portuguese in the country. In July 2012, the CPLP refused Equatorial Guinea full membership, primarily because of its continued serious violations of human rights. The government responded by legalising political parties, declaring a moratorium on the death penalty, and starting a dialog with all political factions. Additionally, the IILP secured land from the government for the construction of Portuguese language cultural centres in Bata and Malabo. At its tenth summit in Dili in July 2014, Equatorial Guinea was admitted as a CPLP member. Abolition of the death penalty and the promotion of Portuguese as an official language were preconditions of the approval. Religion The principal religion in Equatorial Guinea is Christianity, the faith of 93% of the population. Roman Catholics make up the majority (88%), while a minority are Protestants (5%). 2% of the population follows Islam (mainly Sunni). The remaining 5% practise Animism, Baháʼí, and other beliefs. Health Equatorial Guinea's innovative malaria programs in the early 21st century achieved success in reducing malaria infection, disease, and mortality. Their program consists of twice-yearly indoor residual spraying (IRS), the introduction of artemisinin combination treatment (ACTs), the use of intermittent preventive treatment in pregnant women (IPTp), and the introduction of very high coverage with long-lasting insecticide-treated mosquito nets (LLINs). Their efforts resulted in a reduction in all-cause under-five mortality from 152 to 55 deaths per 1,000 live births (down 64%), a sharp drop that coincided with the launch of the program. In June 2014 four cases of polio were reported, the country's first outbreak of the disease. Education Under Francisco Macias, education was neglected, and few children received any type of education. Under President Obiang, the illiteracy rate dropped from 73% to 13%, and the number of primary school students rose from 65,000 in 1986 to more than 100,000 in 1994. Education is free and compulsory for children between the ages of 6 and 14. The Equatorial Guinea government has partnered with Hess Corporation and The Academy for Educational Development (AED) to establish a $20 million education program for primary school teachers to teach modern child development techniques. There are now 51 model schools whose active pedagogy will be a national reform. In recent years, with change in the economic and political climate and government social agendas, several cultural dispersion and literacy organizations have been founded, chiefly with the financial support of the Spanish government. The country has one university, the Universidad Nacional de Guinea Ecuatorial (UNGE), with a campus in Malabo and a Faculty of Medicine located in Bata on the mainland. In 2009 the university produced the first 110 national doctors. The Bata Medical School is supported principally by the government of Cuba and staffed by Cuban medical educators and physicians. Culture In June 1984, the First Hispanic-African Cultural Congress was convened to explore the cultural identity of Equatorial Guinea. The congress constituted the center of integration and the marriage of the Hispanic culture with African cultures. Tourism Equatorial Guinea currently has no UNESCO World Heritage Site or tentative sites for the World Heritage List. The country also has no documented heritage listed in the Memory of the World Programme of UNESCO nor any intangible cultural heritage listed in the UNESCO Intangible Cultural Heritage List. Tourist attractions are the colonial quarter in Malabo, the southern part of the island Bioko where you can hike to the Iladyi cascades and to remote beaches to watch nesting turtles, Bata with its shoreline Paseo Maritimo and the tower of liberty, Mongomo with its basilica (the second largest Catholic church in Africa) and the new planned and built capital Ciudad de la Paz. Media and communications The principal means of communication within Equatorial Guinea are 3 state-operated FM radio stations. BBC World Service, Radio France Internationale and Gabon-based Africa No 1 broadcast on FM in Malabo. There is also an independent radio option called Radio Macuto, the voice of the voiceless. Radio Macuto is a web-based radio and news source known for publishing news that call out Obiang's regime and call for the mobilisation of the ecuatoguinean community to exercise freedom of speech and engage in politics. There are also five shortwave radio stations. Television Nacional, the television network, is state operated. The international TV programme RTVGE is available via satellites in Africa, Europa, and the Americas and worldwide via Internet. There are two newspapers and two magazines. Equatorial Guinea ranks at position 161 out of 179 countries in the 2012 Reporters Without Borders press freedom index. The watchdog says the national broadcaster obeys the orders of the information ministry. Most of the media companies practice self-censorship, and are banned by law from criticising public figures. The state-owned media and the main private radio station are under the directorship of the president's son, Teodor Obiang. Landline telephone penetration is low, with only two lines available for every 100 persons. There is one GSM mobile telephone operator, with coverage of Malabo, Bata, and several mainland cities. , approximately 40% of the population subscribed to mobile telephone services. The only telephone provider in Equatorial Guinea is Orange. There were more than 42,000 internet users by December 2011. Music There is little popular music coming out of Equatorial Guinea. Pan-African styles like soukous and makossa are popular, as are reggae and rock and roll. Acoustic guitar bands based on a Spanish model are the country's best-known indigenous popular tradition. Cinema In 2014 the South African-Dutch-Equatorial Guinean drama film Where the Road Runs Out was shot in the country. There is also the documentary The Writer From a Country Without Bookstores, that has still to be internationally premiered. It focuses on one of Equatorial Guinea's most translated writers Juan Tomás Ávila Laurel. It is the first feature film openly critical of Obiang's regime. Sports Equatorial Guinea was chosen to co-host the 2012 African Cup of Nations in partnership with Gabon, and hosted the 2015 edition. The country was also chosen to host the 2008 Women's African Football Championship, which they won. The women's national team qualified for the 2011 World Cup in Germany. In June 2016, Equatorial Guinea was chosen to host the 12th African Games in 2019. Equatorial Guinea is famous for the swimmers Eric Moussambani, nicknamed "Eric the Eel", and Paula Barila Bolopa, "Paula the Crawler", who attended the 2000 Summer Olympics. Basketball has been increasing in popularity. See also Outline of Equatorial Guinea Index of Equatorial Guinea–related articles Notes References Sources Max Liniger-Goumaz, Small Is Not Always Beautiful: The Story of Equatorial Guinea (French 1986, translated 1989) . Ibrahim K. Sundiata, Equatorial Guinea: Colonialism, State Terror, and the Search for Stability (1990, Boulder: Westview Press) . Robert Klitgaard. 1990. Tropical Gangsters. New York: Basic Books. (World Bank economist tries to assist pre-oil Equatorial Guinea) . D.L. Claret. Cien años de evangelización en Guinea Ecuatorial (1883–1983) / One Hundred Years of Evangelism in Equatorial Guinea (1983, Barcelona: Claretian Missionaries). Adam Roberts, The Wonga Coup: Guns, Thugs and a Ruthless Determination to Create Mayhem in an Oil-Rich Corner of Africa (2006, PublicAffairs) . External links Web dossier Equatorial Guinea from the Afrika-Studiecentrum Leiden Library. Official Government of Equatorial Guinea website Guinea in Figures – Official Web Page of the Government of the Republic of Equatorial Guinea Country Profile from BBC News. Equatorial Guinea. The World Factbook. Central Intelligence Agency. Equatorial Guinea from UCB Libraries GovPubs. Key Development Forecasts for Equatorial Guinea from International Futures. Equatorial Guinea news headline links from AllAfrica.com. History of Equatorial Guinea, PBS Wide Angle interactive timeline. Once Upon a Coup, PBS Wide Angle documentary about the 2004 coup attempt. Central African countries Former Portuguese colonies Former Spanish colonies French-speaking countries and territories Member states of OPEC Member states of the Organisation internationale de la Francophonie Member states of the African Union Current member states of the United Nations Republics Spanish-speaking countries and territories States and territories established in 1968 Member states of the Community of Portuguese Language Countries 1968 establishments in Africa Portuguese-speaking countries and territories Countries in Africa Former least developed countries Totalitarian states
9374
https://en.wikipedia.org/wiki/Armed%20Forces%20of%20Equatorial%20Guinea
Armed Forces of Equatorial Guinea
The Armed Forces of Equatorial Guinea (; ; ) consists of approximately 2,500 service members. The army has almost 1,400 soldiers, the police 400 paramilitary men, the navy 200 service members, and the air force about 120 members. There is also a gendarmerie, but the number of members is unknown. The Gendarmerie is a new branch of the service in which training and education is being supported by the French Military Cooperation in Equatorial Guinea. Military appointments are all reviewed by President Teodoro Obiang, and few of the native militiamen come from outside of Obiang's Mongomo-based Esangui clan. Obiang was a general when he overthrew his uncle, Francisco Macías Nguema. Overall the military is poorly trained and equipped. It has mostly small arms, RPGs, and mortars. Almost none of its Soviet-style light-armored vehicles or trucks are operational. History The Armed Forces were reorganized in 1979. In 1988, the United States donated a 68-foot patrol boat to the Equatoguinean navy to patrol its exclusive economic zone. The U.S. patrol boat Isla de Bioko is no longer operational. U.S. military-to-military engagement has been dormant since 1997 (the year of the last Joint Combined Exchange Training exercise). Between 1984 and 1992, service members went regularly to the United States on the International Military Education Training program, after which funding for this program for Equatorial Guinea ceased. The government spent 6.5% of its annual budget on defense in 2000 and 4.5% of its budget on defense in 2001. It recently acquired some Chinese artillery pieces, some Ukrainian patrol boats, and some Ukrainian helicopter gunships. The number of paved airports in Equatorial Guinea can be counted on one hand, and as such the number of airplanes operated by the air force is small. The Equatoguineans rely on foreigners to operate and maintain this equipment as they are not sufficiently trained to do so. Cooper and Weinert 2010 says that all aircraft are based on the military side of Malabo International Airport. In 2002, a International Consortium of Investigative Journalists report said: Equipment Armour Small arms Aircraft The Air Force of Equatorial Guinea consists of seven fixed wing aircraft and nine helicopters providing ground support, transport, SAR, and training. Current inventory Navy The Equatorial Guinean main task is to counter piracy and robbery at sea. In July 2010, after the visit of Brazilian president Luiz Inácio Lula da Silva, an order for a Barroso-class corvette was announced. However, no further news has been announced. On 3 June 2014, the frigate Wele Nzas was commissioned and became the navy's flagship. Higher education and training On 6 November 2016, the Zimbabwe Defence Forces deployed a training contingent to the Equatorial Guinea to train the country's military officers on operational and logistic matters following an urgent request by the West African country. The security personnel contingent is composed of members of the Zimbabwe National Army and Air Force of Zimbabwe. In 2018, 28 graduates from the military received diplomas from the Nakhimov Naval Academy in Sevastopol. Notes References Further reading Cooper, Tom & Weinert, Peter (2010). African MiGs: Volume I: Angola to Ivory Coast. Harpia Publishing LLC. . Jeremy Binnie, 'Boom Time – Equatorial Guinea,' Jane's Defence Weekly, 30 May 2012. Рост военно-морской мощи Экваториальной Гвинеи и украинские корни этого роста (The growth of Equatorial Guinea's naval power and the Ukrainian roots of this growth)
9377
https://en.wikipedia.org/wiki/History%20of%20Eritrea
History of Eritrea
"Eritrea" is an ancient name, associated in the past with its Greek form Erythraia, Ἐρυθραία, and its derived Latin form Erythræa. This name relates to that of the Red Sea, then called the Erythræan Sea, from the Greek for "red", ἐρυθρός, erythros. The Italians created the colony of Eritrea in the 19th century around Asmara, and named it with its current name. After World War II Eritrea was annexed to Ethiopia. In 1991 the communist Ethiopian government was toppled by Eritrean forces and earned their independence. Eritrea officially celebrated its 1st anniversary of independence on April 27, 1994. Prehistory At Buya in Eritrea, one of the oldest hominids representing a possible link between Homo erectus and an archaic Homo sapiens was found by Italian scientists. Dated to over 1 million years old, it is the oldest skeletal find of its kind and provides a link between hominids and the earliest anatomically modern humans. It is believed that the section of the Danakil Depression in Eritrea was also a major player in terms of human evolution, and may contain other traces of evolution from Homo erectus hominids to anatomically modern humans. During the last interglacial period, the Red Sea coast of Eritrea was occupied by early anatomically modern humans. It is believed that the area was on the route out of Africa that some scholars suggest was used by early humans to colonize the rest of the Old World. In 1999, the Eritrean Research Project Team composed of Eritrean, Canadian, American, Dutch and French scientists discovered a Paleolithic site with stone and obsidian tools dated to over 125,000 years old near the Bay of Zula south of Massawa, along the Red Sea littoral. The tools are believed to have been used by early humans to harvest marine resources like clams and oysters. According to linguists, the first Afroasiatic-speaking populations arrived in the region during the ensuing Neolithic era from the family's proposed urheimat ("original homeland") in the Nile Valley. Other scholars propose that the Afroasiatic family developed in situ in the Horn, with its speakers subsequently dispersing from there. Antiquity Punt Together with Djibouti, Tigray Region, Northern Somalia, and the Red Sea coast of Sudan, Eritrea is considered the most likely location of the land known to the Ancient Egyptians as Punt, whose first mention dates to the 25th century BC. The ancient Puntites were a nation of people that had close relations with Pharaonic Egypt during the times of Pharaoh Sahure and Queen Hatshepsut. In 2010, a genetic study was conducted on the mummified remains of baboons that were brought back as gifts from Punt by the ancient Egyptians. Led by a research team from the Egyptian Museum and the University of California, the scientists used oxygen isotope analysis to examine hairs from two baboon mummies that had been preserved in the British Museum. One of the baboons had distorted isotopic data, so the other's oxygen isotope values were compared to those of present-day baboon specimens from regions of interest. The researchers found that the mummies most closely matched modern baboon specimens in Eritrea and Ethiopia, which they suggested implied that Punt was likely a narrow region that included Northern Ethiopia also known as the Tigray region, North East Sudan, Northern Somalia, and all of Eritrea. Ona Culture Excavations at Sembel found evidence of an ancient pre-Aksumite civilization in greater Asmara. This Ona urban culture is believed to have been among the earliest pastoral and agricultural communities in the Horn region. Artefacts at the site have been dated to between 800 BC and 400 BC, contemporaneous with other pre-Aksumite settlements in the Eritrean and Ethiopian highlands during the mid-first millennium BC. Additionally, the Ona culture may have had connections with the ancient Land of Punt. In a tomb in Thebes dated to the reign of Pharaoh Amenophis II (Amenhotep II), long-necked pots similar to those made by the Ona people are depicted as part of the cargo in a ship from Punt. Gash Group Excavations in and near Agordat in central Eritrea yielded the remains of an ancient pre-Aksumite civilization known as the Gash Group. Ceramics were discovered that were related to those of the C-Group (Temehu) pastoral culture, which inhabited the Nile Valley between 2500 and 1500 BC. Sherds akin to those of the Kerma culture, another community that flourished in the Nile Valley around the same period, were also found at other local archaeological sites in the Barka valley belonging to the Gash Group. According to Peter Behrens (1981) and Marianne Bechaus-Gerst (2000), linguistic evidence indicates that the C-Group and Kerma peoples spoke Afro-Asiatic languages of the Berber and Cushitic branches, respectively. Kingdom of D'mt D'mt was a kingdom that encompassed most of Eritrea and the northern fringes of Ethiopia, it existed during the 8th and 7th centuries BC. Given the presence of a massive temple complex, its capital was most likely Yeha. Qohaito, often identified as the town Koloe in the Periplus of the Erythraean Sea, as well as Matara were important ancient D'mt kingdom cities in southern Eritrea. There are many Ancient cities in Eritrea. The realm developed irrigation schemes, used plows, grew millet, and made iron tools and weapons. After the fall of Dʿmt in the 5th century BC, the plateau came to be dominated by smaller successor kingdoms until the rise of one of these polities during the first century, the Kingdom of Aksum, which was able to reunite the area. Kingdom of Aksum Debre Sina monastery from the 4th century is the first Christian place of worship recorded in Eritrea. Debre Bizen monastery was built during 1350s near the town of Nefasit in Eritrea. The Kingdom of Aksum was a trading empire centered in Eritrea and northern Ethiopia. It existed from approximately 100–940 AD, growing from the proto-Aksumite Iron Age period c. 4th century BC to achieve prominence by the 1st century AD. The Aksumites established bases on the northern highlands of the Ethiopian Plateau and from there expanded southward. The Persian religious figure Mani listed Axum with Rome, Persia, and China as one of the four great powers of his time. The origins of the Axumite Kingdom are unclear, although experts have offered their speculations about it. Even whom should be considered the earliest known king is contested: although Carlo Conti Rossini proposed that Zoskales of Axum, mentioned in the Periplus of the Erythraean Sea, should be identified with one Za Haqle mentioned in the Ethiopian King Lists (a view embraced by later historians of Ethiopia such as Yuri M. Kobishchanov and Sergew Hable Sellasie), G.W.B. Huntingford argued that Zoskales was only a sub-king whose authority was limited to Adulis, and that Conti Rossini's identification can not be substantiated. According to the medieval Liber Axumae (Book of Aksum), Aksum's first capital, Mazaber, was built by Itiyopis, son of Cush. Munro-Hay cites the Muslim historian Abu Ja'far al-Khwarazmi/Kharazmi (who wrote before 833) as stating that the capital of "the kingdom of Habash" was Jarma (hypothetically from Ge'ez girma, "remarkable, revered"). The capital was later moved to Aksum in northern Ethiopia. The Kingdom used the name "Axum" as early as the 4th century. The Aksumites erected a number of large stelae, which served a religious purpose in pre-Christian times. One of these granite columns is the largest such structure in the world, standing at 90 feet. Under Ezana (fl. 320–360), Aksum later adopted Christianity. In 615, during the lifetime of Muhammad, the Aksumite King Sahama provided asylum to early Muslims from Mecca fleeing persecution. This journey is known in Islamic history as the First Hijra. The area is also the alleged resting place of the Ark of the Covenant and the purported home of the Queen of Sheba. The kingdom is mentioned in the Periplus of the Erythraean Sea as an important market place for ivory, which was exported throughout the ancient world. Aksum was at the time ruled by Zoskales, who also governed the port of Adulis. The Aksumite rulers facilitated trade by minting their own Aksumite currency. The state also established its hegemony over the declining Kingdom of Kush and regularly entered the politics of the kingdoms on the Arabian peninsula, eventually extending its rule over the region with the conquest of the Himyarite Kingdom. Inscriptions have been found in Southern Arabia celebrating victories over one GDRT, described as "nagashi of Habashat [i.e. Abyssinia] and of Axum." Other dated inscriptions are used to determine a floruit for GDRT (interpreted as representing a Ge'ez name such as Gadarat, Gedur, or Gedara) around the beginning of the 3rd century. A bronze scepter or wand has been discovered at Atsbi Dera with in inscription mentioning "GDR of Axum". Coins showing the royal portrait began to be minted under King Endubis toward the end of the 3rd century. Additionally, expeditions by Ezana into the Kingdom of Kush at Meroe in Sudan may have brought about the latter polity's demise, though there is evidence that the kingdom was experiencing a period of decline beforehand. As a result of Ezana's expansions, Aksum bordered the Roman province of Egypt. The degree of Aksum's control over Yemen is uncertain. Though there is little evidence supporting Aksumite control of the region at that time, his title, which includes king of Saba and Salhen, Himyar and Dhu-Raydan (all in modern-day Yemen), along with gold Aksumite coins with the inscriptions, "king of the Habshat" or "Habashite," indicate that Aksum might have retained some legal or actual footing in the area. Details of the Aksumite Kingdom, never abundant, become even more scarce after this point. The last king known to mint coins is Armah, whose coinage refers to the Persian conquest of Jerusalem in 614. Stuart Munro-Hay believes that Axum had been abandoned as the capital by Sahama's reign. However, Kobishchanov suggests that the Axum kingdom retained hegemony over the Arabian ports until at least as late as 702. Post-classical period Early developments From the late first to early second millennium Eritrea witnessed a period of migrations: Since the late 7th century, so with the decline of Aksum, large parts of Eritrea, including the highlands, were overrun by pagan Beja, who supposedly founded several kingdoms on its soil, like Baqlin, Jarin and Qata. The Beja rule declined in the 13th century. Subsequently, the Beja were expelled from the highlands by Abyssinian settlers from the south. Another people, the Bellou, originated from a similar milieu as the Beja. They appeared first in the 12th century, from then on they dominated parts of northwestern Eritrea until the 16th century. After 1270, with the destruction of the Zagwe Kingdom, many Agaw fled to what is now Eritrea. Most were culturally and linguistically assimilated into the local Tigrinya culture, with the notable exception of the Bilen. Yet another people that arrived after the fall of Aksum were the Cushitic-speaking Saho, who had established themselves in the highlands until the 14th century. Meanwhile, Eritrea witnessed a very slow, but steady conversion to Islam. Muslims had already reached Eritrea in 613/615, during the First Hijra. In 702, muslim travelers entered the Dahlak islands. In 1060, a Yemeni dynasty fled to Dahlak and proclaimed the Sultanate of Dahlak, which would last for almost 500 years. This sultanate also had sovereignty over the port town of Massawa. 12th century to the Italian arrival The 12th century saw the rise of a new kingdom, Medri Bahri. Previously, this area has been known as Ma'ikele Bahr ("between the seas/rivers," i.e. the land between the Red Sea and the Mereb river), but during the reign of emperor Zara Yaqob it was rebranded as the domain of the Bahr Negash, the Medri Bahri ("Sea land" in Tigrinya, although it included some areas like Shire on the other side of the Mereb, today in Ethiopia). With its capital at Debarwa, the state's main provinces were Hamasien, Serae and Akele Guzai. In 1879, Medri Bahri was annexed by Ras Alula, who defended the area against the Italians until they finally occupied it in 1889. The Ottoman Empire made multiple advances further inland conquering Medri Bahri in the 16th century. The Ottoman state maintained only tenuous control over much of the territory over the following centuries until it was re-conquered under the Muhammad Ali dynasty in the 19th century. In southern Eritrea, the Aussa Sultanate (Afar Sultanate) succeeded the earlier Imamate of Aussa. The latter polity had come into existence in 1577, when Muhammed Jasa moved his capital from Harar to Aussa (Asaita) with the split of the Adal Sultanate into Aussa and the Sultanate of Harar. At some point after 1672, Aussa declined in conjunction with Imam Umar Din bin Adam's recorded ascension to the throne. In 1734, the Afar leader Kedafu, head of the Mudaito clan, seized power and established the Mudaito Dynasty. This marked the start of a new and more sophisticated polity that would last into the colonial period. Italian Eritrea Establishment The boundaries of the present-day Eritrea nation state were established during the Scramble for Africa. In 1869 or ’70, the then ruling Sultan of Raheita sold lands surrounding the Bay of Assab to the Rubattino Shipping Company. The area served as a coaling station along the shipping lanes introduced by the recently completed Suez Canal. It almost became a part of the Ottoman Habesh Eyalet centered in Egypt, though they withdrew from the place after the resistance of the Eritrean people. The first Italian settlers arrived in 1880. Later, as the Egyptians retreated out of Sudan during the Mahdist rebellion and didn't succeed in their attempts of taking over the ports and other places in Eritrea, the British brokered an agreement whereby the Egyptians could retreat through Ethiopia, and in exchange they would allow the Emperor to occupy those lowland districts that he had disputed with the Turks and Egyptians. Emperor Yohannes IV believed this included Massawa, but instead, the port was handed by the British to the Italians, who united it with the already colonised port of Asseb to form a coastal Italian possession. The Italians took advantage of disorder in northern Ethiopia following the death of Emperor Yohannes IV in 1889 to occupy the highlands and established their new colony, henceforth known as Eritrea, and received recognition from Menelik II, Ethiopia's new Emperor. The Italian possession of maritime areas previously claimed by Abyssinia/Ethiopia was formalized in 1889 with the signing of the Treaty of Wuchale with Emperor Menelik II of Ethiopia (r. 1889–1913) after the defeat of Italy by Ethiopia at the battle of Adua where Italy launched an effort to expand its possessions from Eritrea into the more fertile Abyssinian hinterland. Menelik would later renounce the Wuchale Treaty as he had been tricked by the translators to agree to making the whole of Ethiopia into an Italian protectorate. However, he was forced by circumstance to live by the tenets of Italian sovereignty over Eritrea. In the vacuum that followed the 1889 death of Emperor Yohannes IV, Gen. Oreste Baratieri occupied the highlands along the Eritrean coast and Italy proclaimed the establishment of the new colony of Italian Eritrea, a colony of the Kingdom of Italy. In the Treaty of Wuchale (It. Uccialli) signed the same year, King Menelik of Shewa, a southern Ethiopian kingdom, recognized the Italian occupation of his rivals' lands of Bogos, Hamasien, Akkele Guzay, and Serae in exchange for guarantees of financial assistance and continuing access to European arms and ammunition. His subsequent victory over his rival kings and enthronement as Emperor Menelek II (r. 1889–1913) made the treaty formally binding upon the entire territory. In 1888, the Italian administration launched its first development projects in the new colony. The Eritrean Railway was completed to Saati in 1888, and reached Asmara in the highlands in 1911. The Asmara–Massawa Cableway was the longest of its kind in the world when inaugurated in 1937. It was later dismantled by the British after World War II as war reparations. Besides major infrastructural projects, the colonial authorities invested significantly in the agricultural sector. It also oversaw the provision of urban amenities in Asmara and Massawa, and employed many Eritreans in public service, particularly in the police and public works departments. Thousands of Eritreans were concurrently enlisted in the army, serving during the Italo-Turkish War in Libya as well as the First and second Italo-Abyssinian Wars. Additionally, the Italian Eritrea administration opened a number of factories, which produced buttons, cooking oil, pasta, construction materials, packing meat, tobacco, hide and other household commodities. In 1939, there were around 2,198 factories and most of the employees were Eritrean citizens. The establishment of industries also made an increase in the number of both Italians and Eritreans residing in the cities. The number of Italians residing in the territory increased from 4,600 to 75,000 in five years; and with the involvement of Eritreans in the industries, trade and fruit plantation was expanded across the nation, while some of the plantations were owned by Eritreans. In 1922, Benito Mussolini's rise to power in Italy brought profound changes to the colonial government in Italian Eritrea. After il Duce declared the birth of the Italian Empire in May 1936, Italian Eritrea (enlarged with northern Ethiopia's regions) and Italian Somaliland were merged with the just conquered Ethiopia in the new Italian East Africa (Africa Orientale Italiana) administrative territory. This Fascist period was characterized by imperial expansion in the name of a "new Roman Empire". Eritrea was chosen by the Italian government to be the industrial center of Italian East Africa. After the revolutional fight by the Eritreans, the Italians left Eritrea. The Italians brought to Eritrea a huge development of Catholicism. By 1940, nearly one third of the territory's population was Catholic, mainly in Asmara where some churches were built. Asmara development Italian Asmara was populated by a large Italian community and the city acquired an Italian architectural look. One of the first building was the Asmara President's Office: this former "Italian government's palace" was built in 1897 by Ferdinando Martini, the first Italian governor of Eritrea. The Italian government wanted to create in Asmara an impressive building, from where the Italian Governors could show the dedication of the Kingdom of Italy to the "colonia primogenita" (first daughter-colony) as was called Eritrea. Today Asmara is worldwide known for its early twentieth-century Italian buildings, including the Art Deco Cinema Impero, "Cubist" Africa Pension, eclectic Orthodox Cathedral and former Opera House, the futurist Fiat Tagliero Building, the neo-Romanesque Church of Our Lady of the Rosary, Asmara, and the neoclassical Governor's Palace. The city is littered with Italian colonial villas and mansions. Most of central Asmara was built between 1935 and 1941, so effectively the Italians managed to build almost an entire city, in just six years. The city of Italian Asmara had a population of 98,000, of which 53,000 were Italians according to the Italian census of 1939. This fact made Asmara the main "Italian town" of the Italian empire in Africa.In all Eritrea the Italian Eritreans were 75,000 in that year. Many industrial investments were done by the Italians in the area of Asmara and Massawa, but the beginning of World War II stopped the blossoming industrialization of Eritrea. During the Allied efforts to capture Eritrea from the Italians in spring 1941, most of the infrastructure and the industrial areas were heavily damaged by the fighting. The following Italian guerrilla war was supported by many Eritrean colonial troops until the Italian armistice in September 1943. Eritrea was placed under British military administration after the Italian surrender in World War II. The Italian Eritreans strongly rejected the Ethiopian annexation of Eritrea after the war: the Party of Shara Italy of Dr. Vincenzo Di Meglio was established in Asmara in July 1947, and majority of the members were former Italian soldiers and many Eritrean Ascari (the organization was even backed up by the government of Italy). This party ruled by Dr. Di Meglio obtained in 1947 the dismissal of a proposal to divide Eritrea between Sudan and Ethiopia. The main objective of this italo-Eritrean party was Eritrea freedom, but they had a pre-condition that stated that before independence the country should be governed by Italy for at least 15 years (like happened with Italian Somalia). British administration and federalisation British forces defeated the Italian army in Eritrea in 1941 at the Battle of Keren and placed the colony under British military administration until Allied forces could determine its fate. Several Italian-built infrastructure projects and industries were dismantled and removed to Kenya as war reparations. In the absence of agreement amongst the Allies concerning the status of Eritrea, the British military administration continued for the remainder of World War II until 1950. During the immediate postwar years, the British proposed that Eritrea be divided along religious lines, with the Muslim population joining Sudan and the Christians Ethiopia. The Soviet Union, anticipating an Italian Communist Party victory in the Italian polls, initially supported returning Eritrea to Italy under trusteeship or as a colony. Soviet diplomats, led by Maxim Litvinov and backed by Ivan Maisky and Vyacheslav Molotov, even attempted to have Eritrea become a trustee of the Soviet Union itself. Arab states, seeing Eritrea and its large Muslim population as an extension of the Arab world, sought the establishment of an independent state. There are only two main Christian-Muslim conflicts reported in Asmara, Eritrea (the Ethiopians supported by the Unionist Party played a big role in it), one was in 1946 where Sudanese Defence Forces were involved, and the other was in February 1950. This note is about that of 1950. The UN Commission (UNC) arrived in Eritrea on February 9 and began its months-long inquiry 5 days later. Unionist Shifta activities supported by Ethiopia increased after its arrival, they became daring, better planned, better coordinated and innovative. The main target of the shifta was to disrupt the free movement of the UNC in areas controlled by the independence bloc supporters. The shifta attempted to prevent the rural population that supported independence from having an audience with the UNC. They targeted transportation and communication systems. Telephone lines connecting Asmara with major cities of the predominantly areas pro-independence areas of the western lowlands and Masswa were continuously cut. An active Muslim League local leader, from Mai Derese, Bashai Nessredin Saeed was killed by the Unionist Shifta at Emba Derho train station where he worked as a station manager, on February 20. According to an account of the incident written by Mufti Sheikh Ibrahim Al Mukhtar, at 07:30 in the evening of a Monday that date 5 shifta came and fired several bullets at him while he was on duty, He was critically wounded and was taken to Asmara immediately but died on the way. The reason for the killing was that they had asked him to abandon the Muslim League and join the Unionist Party (UP), but he refused. The killing sparked an outrage among Muslims in Asmara and a lot of people turned up the next day for his funeral to show their stand against the terrorist activities of the UP. A well organised funeral procession was arranged and attended by youth and Muslim dignitaries. The procession passed through three main streets before they reached the street where the UP Office was located. According to the Mufti, then the UP members started first to throw stones at the procession which was followed by three grenades and then chaos followed. There was open confrontation between both sides and many were killed and injured from both sides. The police intervened by firing live ammunition, but the confrontations continued. Despite all this, the procession continued to the cemetery where the body was buried. The riots then spread to other areas and took a dangerous sectarian form. Many properties were also looted and burned. On Wednesday, the British Military Administration (BMA) declared a curfew from 5pm to 5am, but the riots continued, On Friday the curfew was extended to 22 hours. On Thursday, the BMA administrator called for a meeting that included the Mufti and Abuna Marcos and asked them to calm the people and ask for reconciliation and both agreed. The next day a convoy of four cars: (In the first car were armed police, in the 2nd was the Asmara Administrator with his Arabic translator, in the third were the Mufti and the Abuna and in the 4th was the Asmara & Hamassein Judge and the vice of the Abuna) moved to the districts of ‘Geza Berhanu’, Edaga Arbi, Akhria, Edaga Hamus, Aba Shawl, Hadish Adi and Gaza Banda. In each location people were addressed with microphones to gather in both Arabic and Tigrinya and were told that the police will not harm them. In places where there were a majority of Christians the Abuna will address them first and later the Mufti calling the people to end the violence and vice versa in the other locations where the majority were Muslims. Later the people were told to go back to their homes. In the evening the Mufti and the Abuna went to the Radio Station and advised the citizens to end violence. The wise men from both sides accepted the call, but the looting of properties of Muslim merchants continued for 3 more days before the riots came to an end. On Saturday 25 February, the Copts met at the main church and Muslims at the grand mosque and discussed ways to end the violence. Both sides agreed to take an oath to prevent violence against each other. Each side appointed a four-member committee to oversee the agreements. Later 31 members from each side took an oath in front of the eight member committee. To prevent further violence in other areas, the committee of both sides decided to visit the Muslim and Christian cemeteries and lied flowers on the graveyard of the victims of both sides. More than 62 persons were killed and more than 180 were injured and the damage on the properties was huge. This way the riots where the Ethiopian Laison Officer played a big role to ignite was brought to an end by the wise religious leaders and elders of both sides. Ethiopian ambition in the Horn was apparent in the expansionist ambition of its monarch when Haile Selassie claimed Italian Somaliland and Eritrea. He made this claim in a letter to Franklin D. Roosevelt, at the Paris Peace Conference and at the First Session of the United Nations. In the United Nations the debate over the fate of the former Italian colonies continued. The British and Americans preferred to cede Eritrea to the Ethiopians if possible as a reward for their support during World War II. "The United States and the United Kingdom have (similarly) agreed to support the cession to Ethiopia of all of Eritrea except the Western province. The United States has given assurances to Ethiopia in this regard." The Independence Bloc of Eritrean parties consistently requested from the UN General Assembly that a referendum be held immediately to settle the Eritrean question of sovereignty. A United Nations (UN) commission was dispatched to the former colony in February 1950 in the absence of Allied agreement and in the face of Eritrean demands for self-determination. It was also at this juncture that the US Ambassador to the UN, John Foster Dulles, said, "From the point of view of justice, the opinions of the Eritrean people must receive consideration. Nevertheless the strategic interest of the United States in the Red Sea basin and the considerations of security and world peace make it necessary that the country has to be linked with our ally Ethiopia." The Ambassador's word choice, along with the estimation of the British Ambassador in Addis Ababa, makes quite clear the fact that the Eritrean aspiration was for independence. The commission proposed the establishment of some form of association with Ethiopia, and the UN General Assembly on 2 December 1950 adopted that proposal along with a provision terminating the British military administration of Eritrea no later than 15 September 1952. The British military administration held Legislative Assembly elections on 25 and 26 March 1952, for a representative Assembly of 68 members, evenly divided between Christians and Muslims. This body in turn accepted a draft constitution put forward by the UN commissioner on 10 July. On 11 September 1952, Emperor Haile Selassie ratified the constitution. The Representative Assembly subsequently became the Eritrean Assembly. In 1952 UN General Assembly Resolution 390 to federate Eritrea with Ethiopia went into effect. The resolution ignored the wishes of Eritreans for independence, but guaranteed the population some democratic rights and a measure of autonomy. Some scholars have contended that the issue was a religious issue, between the Muslim lowland population desiring independence while the highland Christian population sought a union with Ethiopia. Other scholars, including the former Attorney-General of Ethiopia, Bereket Habte Selassie, contend that, "religious tensions here and there...were exploited by the British, [but] most Eritreans (Christians and Moslems) were united in their goal of freedom and independence." Almost immediately after the federation went into effect, however, these rights began to be abridged or violated. Pleas in Eritrea for a referendum for independence were received by the American, British and Ethiopian government, and a confidential American memo estimated around 75% of Eritreans supported the Independence Party. The details of Eritrea's association with Ethiopia were established by the UN General Assembly Resolution 390A (V) of 2 December 1950. It called for Eritrea and Ethiopia to be linked through a loose federal structure under the sovereignty of the Emperor. Eritrea was to have its own administrative and judicial structure, its own flag, and control over its domestic affairs, including police, local administration, and taxation. The federal government, which for all intents and purposes was the existing imperial government, was to control foreign affairs (including commerce), defense, finance, and transportation. As a result of a long history of a strong landowning peasantry and the virtual absence of serfdom in most parts of Eritrea, the bulk of Eritreans had developed a distinct sense of cultural identity and superiority vis-à-vis Ethiopians. This combined with Eriteans who had a desire for political freedoms alien to Ethiopian political tradition, was the reason why the British administration left the country and the Eritreans finally won that fight. From the start of the federation, however, Haile Selassie attempted to undercut Eritrea's independent status, a policy that alienated many Eritreans. The Emperor pressured Eritrea's elected chief executive to resign, made Amharic the official language in place of Arabic and Tigrinya, terminated the use of the Eritrean flag, imposed censorship, and moved many businesses out of Eritrea. Finally, in 1962 Haile Selassie pressured the Eritrean Assembly to abolish the Federation and join the Imperial Ethiopian fold, much to the dismay of those in Eritrea who favored a more liberal political order. War for independence Militant opposition to the incorporation of Eritrea into Ethiopia had begun in 1958 with the founding of the Eritrean Liberation Movement (ELM), an organization made up mainly of students, intellectuals, and urban wage laborers. The ELM, under the leadership of the Eritrean Hamid Idris Awate, engaged in clandestine political activities intended to cultivate resistance to the centralizing policies of the imperial Ethiopian state. By 1962, however, the ELM had been discovered and destroyed by imperial authorities. Emperor Haile Selassie unilaterally dissolved the Eritrean parliament and illegally annexed the country in 1962. The war continued after Haile Selassie was ousted in a coup in 1974. The Derg, the new Ethiopian government, was a Marxist military junta led by strongman Mengistu Haile Mariam. In 1960 Eritrean exiles in Cairo founded the Eritrean Liberation Front (ELF), which led the Eritrean independence struggle during the 1960s. In contrast to the ELM, from the outset the ELF was bent on waging armed struggle on behalf of Eritrean independence. The ELF was composed mainly of Eritrean Muslims from the rural lowlands on the western edge of the territory. In 1961 the ELF's political character was vague, but radical Arab states such as Syria and Iraq saw Eritrea as a predominantly Muslim region struggling to escape Ethiopian oppression and imperial domination. These two countries therefore supplied military and financial assistance to the ELF. The ELF initiated military operations in 1961 and intensified its activities in response to the dissolution of the federation in 1962. By 1967 the ELF had gained considerable support among peasants, particularly in Eritrea's north and west, and around the port city of Massawa. Haile Selassie attempted to calm the growing unrest by visiting Eritrea and assuring its inhabitants that they would be treated as equals under the new arrangements. Although he doled out offices, money, and titles mainly to Christian highlanders in the hope of co-opting would-be Eritrean opponents in early 1967, the imperial secret police of Ethiopia also set up a wide network of informants in Eritrea and conducted disappearances, intimidations and assassinations among the same populace driving several prominent political figures into exile. Imperial police fired live ammunition killing scores of youngsters during several student demonstrations in Asmara in this time. The imperial army also actively perpetrated massacres until the ousting of the Emperor by the Derg in 1974. By 1971 ELF activity had become enough of a threat that the emperor had declared martial law in Eritrea. He deployed roughly half of the Ethiopian army to contain the struggle. Internal disputes over strategy and tactics eventually led to the ELF's fragmentation and the founding in 1972 of the Eritrean People's Liberation Front (EPLF). The leadership of this multi-ethnic movement came to be dominated by leftist, Christian dissidents who spoke Tigrinya, Eritrea's predominant language. Sporadic armed conflict ensued between the two groups from 1972 to 1974, even as they fought Ethiopian forces. By the late 1970s, the EPLF had become the dominant armed Eritrean group fighting against the Ethiopian Government, and Isaias Afewerki had emerged as its leader. Much of the material used to combat Ethiopia was captured from the army. By 1977 the EPLF seemed poised to drive the Ethiopians out of Eritrea. However, that same year a massive airlift of Soviet arms to Ethiopia enabled the Ethiopian Army to regain the initiative and forced the EPLF to retreat to the bush. Between 1978 and 1986 the Derg launched eight unsuccessful major offensives against the independence movement. In 1988 the EPLF captured Afabet, headquarters of the Ethiopian Army in northeastern Eritrea, putting approximately a third of the Ethiopian Army out of action and prompting the Ethiopian Army to withdraw from its garrisons in Eritrea's western lowlands. EPLF fighters then moved into position around Keren, Eritrea's second-largest city. Meanwhile, other dissident movements were making headway throughout Ethiopia. At the end of the 1980s the Soviet Union informed Mengistu that it would not renew its defense and cooperation agreement. With the withdrawal of Soviet support and supplies, the Ethiopian Army's morale plummeted, and the EPLF, along with other Ethiopian rebel forces, began to advance on Ethiopian positions. In 1980 the Permanent Peoples' Tribunal determined that the right of the Eritrean people to self-determination does not represent a form of secession. Provisional Government and People's Front for Democracy and Justice The United States played a facilitative role in the peace talks in Washington during the months leading up to the May 1991 fall of the Mengistu regime. In mid-May, Mengistu resigned as head of the Ethiopian Government and went into exile in Zimbabwe, leaving a caretaker government in Addis Ababa. Having defeated the Ethiopian forces in Eritrea, EPLF troops took control of their homeland. Later that month, the United States chaired talks in London to formalize the end of the war. These talks were attended by the four major combatant groups, including the EPLF. Following the collapse of the Mengistu government, Eritrean independence began drawing influential interest and support from the United States. Heritage Foundation Africa expert Michael Johns wrote that "there are some modestly encouraging signs that the front intends to abandon Mengistu's autocratic practices." A high-level U.S. delegation was also present in Addis Ababa for the July 1–5, 1991 conference that established a transitional government in Ethiopia. The EPLF attended the July conference as an observer and held talks with the new transitional government regarding Eritrea's relationship to Ethiopia. The outcome of those talks was an agreement in which the Ethiopians recognized the right of the Eritreans to hold a referendum on independence. Although some EPLF cadres at one time espoused a Marxist ideology, Soviet support for Mengistu had cooled their ardor. The fall of communist regimes in the former Soviet Union and the Eastern Bloc convinced them it was a failed system. The EPLF now says it is committed to establishing a democratic form of government and a free-market economy in Eritrea. The United States agreed to provide assistance to both Ethiopia and Eritrea, conditional on continued progress toward democracy and human rights. In May 1991 the EPLF established the Provisional Government of Eritrea (PGE) to administer Eritrean affairs until a referendum was held on independence and a permanent government established. EPLF leader Afewerki became the head of the PGE, and the EPLF Central Committee served as its legislative body. Eritreans voted overwhelmingly in favor of independence between 23 and 25 April 1993 in a UN-monitored referendum. The result of the referendum was 99.83% for Eritrea's independence. The Eritrean authorities declared Eritrea an independent state on 27 April 1993. The government was reorganized and the National Assembly was expanded to include both EPLF and non-EPLF members. The assembly chose Isaias Afewerki as president. The EPLF reorganized itself as a political party, the People's Front for Democracy and Justice (PFDJ). After independence The first President of Eritrea, Isaias Afwerki, has authoritatively ruled Eritrea since 1993. People's Front for Democracy and Justice (PFDJ) is the only legal political party. In July 1996 the Constitution of Eritrea was ratified, but it has yet to be implemented. In 1998 a border dispute with Ethiopia, over the town of Badme, led to the Eritrean-Ethiopian War in which thousands of soldiers from both countries died. Eritrea suffered from significant economic and social stress, including massive population displacement, reduced economic development, and one of Africa's most severe land mine problems. The border war ended in 2000 with the signing of the Algiers Agreement. Amongst the terms of the agreement was the establishment of a UN peacekeeping operation, known as the United Nations Mission in Ethiopia and Eritrea (UNMEE); with over 4,000 UN peacekeepers. The UN established a temporary security zone consisting of a 25-kilometre demilitarized buffer zone within Eritrea, running along the length of the disputed border between the two states and patrolled by UN troops. Ethiopia was to withdraw to positions held before the outbreak of hostilities in May 1998. The Algiers agreement called for a final demarcation of the disputed border area between Eritrea and Ethiopia by the assignment of an independent, UN-associated body known as the Eritrea-Ethiopia Boundary Commission (EEBC), whose task was to clearly identify the border between the two countries and issue a final and binding ruling. The peace agreement would be completed with the implementation of the Border Commission's ruling, which would also end the task of the peacekeeping mission. After extensive study, the Commission issued a final border ruling in April 2002, which awarded some territory to each side, but Badme (the flash point of the conflict) was awarded to Eritrea. The commission's decision was rejected by Ethiopia. The border question remains in dispute, with Ethiopia refusing to withdraw its military from positions in the disputed areas, including Badme, while a "difficult" peace remains in place. The UNMEE mission was formally abandoned in July 2008, after experiencing serious difficulties in sustaining its troops after fuel stoppages. Furthermore, Eritrea's diplomatic relations with Djibouti were briefly severed during the border war with Ethiopia in 1998 due to a dispute over Djibouti's intimate relation with Ethiopia during the war but were restored and normalized in 2000. Relations are again tense due to a renewed border dispute. Similarly, Eritrea and Yemen had a border conflict between 1996 and 1998 over the Hanish Islands and the maritime border, which was resolved in 2000 by the Permanent Court of Arbitration in the Hague. Eritrea has improved health care, and is on track to meet its Millennium Development Goals (MDG) for health, in particular child health. Life expectancy at birth increased from 39.1 years in 1960 to 59.5 years in 2008; maternal and child mortality rates dropped dramatically and the health infrastructure expanded. Immunisation and child nutrition have been tackled by working closely with schools in a multi-sectoral approach; the number of children vaccinated against measles almost doubled in seven years, from 40.7% to 78.5% and the prevalence of underweight children decreased by 12% from 1995 to 2002 (severe underweight prevalence by 28%). The National Malaria Protection Unit of the Ministry of Health registered reductions in malarial mortality by as much as 85% and in the number of cases by 92% between 1998 and 2006. The Eritrean government has banned female genital mutilation (FGM), saying the practice was painful and put women at risk of life-threatening health problems. Malaria and tuberculosis are common. HIV prevalence for ages 15 to 49 years exceeds 2%. Due to his frustration with the stalemated peace process with Ethiopia, the President of Eritrea Isaias Afewerki wrote a series of Eleven Letters to the UN Security Council and Secretary-General Kofi Annan. Despite the Algiers Agreement, tense relations with Ethiopia have continued and led to regional instability. His government has also been condemned for allegedly arming and financing the insurgency in Somalia; the United States is considering labeling Eritrea a "State Sponsor of Terrorism." In December 2007, an estimated 4000 Eritrean troops remained in the 'demilitarized zone' with a further 120,000 along its side of the border. Ethiopia maintained 100,000 troops along its side. In September, 2012, the Israeli Haaretz newspaper published an exposé on Eritrea. There are over 40,000 Eritrean refugees in Israel. The NGO Reporters Without Borders has ranked Eritrea in last in freedom of expression since 2007, even lower than North Korea. The 2013 Eritrean Army mutiny took place on 21 January 2013, when around 100 –200 soldiers of the Eritrean Army in the capital city Asmara briefly seized the headquarters of the state broadcaster, EriTV, and broadcast a message demanding reforms and the release of political prisoners. On 10 February 2013, president Isaias Afwerki commented on the mutiny, describing it as nothing to worry about. In September 2018, President Isaias Afwerki and Prime Minister of Ethiopia, Abiy Ahmed, signed a historic peace agreement between the two countries. Asmara UNESCO World Heritage Site On 8 July 2017, the entire capital city of Asmara was listed as a UNESCO World Heritage Site, with the inscription taking place during the 41st World Heritage Committee Session. The city has thousands of Art Deco, futurist, modernist, and rationalist buildings, constructed during the period of Italian Eritrea. The city, nicknamed "La piccola Roma" ("Little Rome"), is located over 2000 meters above sea level, and was an ideal spot for construct Relations with neighbours The BBC published on 19 June 2008 a timeline of Eritrea's conflict with Ethiopia to that date and reported that the "Border dispute rumbles on": 2007 September – War could resume between Ethiopia and Eritrea over their border conflict, warns United Nations special envoy to the Horn of Africa, Kjell Magne Bondevik. 2007 November – Eritrea accepts border line demarcated by international boundary commission. Ethiopia rejects it. 2008 January – UN extends mandate of peacekeepers on Ethiopia-Eritrea border for six months. UN Security Council demands Eritrea lift fuel restrictions imposed on UN peacekeepers at the Eritrea-Ethiopia border area. Eritrea declines, saying troops must leave border. 2008 February – UN begins pulling 1,700-strong peacekeeper force out due to lack of fuel supplies following Eritrean government restrictions. 2008 April – UN Secretary-General Ban Ki Moon warns of likelihood of new war between Ethiopia and Eritrea if peacekeeping mission withdraws completely. Outlines options for the future of the UN mission in the two countries. 2008 May – Eritrea calls on UN to terminate peacekeeping mission. In relation to the Djiboutian–Eritrean border conflict: 2008 April — Djibouti accuses Eritrean troops of digging trenches at disputed Ras Doumeira border area and infiltrating Djiboutian territory. Eritrea denies charge. 2008 June – Fighting breaks out between Eritrean and Djiboutian troops. 2009, 23 December — the UN Security Council imposed sanctions on Eritrea for providing support to armed groups undermining peace and reconciliation in Somalia and because it had not withdrawn its forces following clashes with Djibouti in June 2008. The sanctions were to imposed an arms embargo, travel restrictions and a freeze on the assets of its political and military leaders. The sanctions were reinforced on 5 December 2011. 2010 June — Djibouti and Eritrea agreed to refer the dispute to Qatar for mediation. 2017 June — Following the 2017 Qatar diplomatic crisis, Qatar withdrew its peacekeeping forces from the disputed territory. Shortly after, Djibouti accused Eritrea of reoccupying the mainland hill and Doumeira Island. In relation to southern Somalia: In December 2009, the United Nations Security Council imposed sanctions on Eritrea, accusing it of arming and providing financial aid to militia groups in southern Somalia's conflict zones. On July 16, 2012, a United Nations Monitoring Group reported that "it had found no evidence of direct Eritrean support for militia groups in the past year." See also Asmara History of Asmara History of Africa Italian Eritrea Timeline of Asmara References Further reading Peter R. Schmidt, Matthew C. Curtis and Zelalem Teka, The Archaeology of Ancient Eritrea. Asmara: Red Sea Press, 2008. 469 pp.  Beretekeab R. (2000); Eritrean making of a Nation 1890–1991, Uppsala University, Uppsala. Ghebrehiwot, Petros Kahsai (2006): "A study sample of the Eritrean art and material culture in the collections of the National Museum of Eritrea" Mauri, Arnaldo (2004); Eritrea's early stages in monetary and banking development, International Review of Economics, , Vol. 51, n. 4, pp. 547–569. Negash T. (1987); Italian colonisation in Eritrea: policies, praxis and impact, Uppsala University, Uppsala. Wrong, Michela. I Didn't Do It For You : How the World Used and Abused a Small African Nation. Harper Perennial (2005). External links Background Note: Eritrea The Eritrean railway (in Italian)
9384
https://en.wikipedia.org/wiki/Eritrean%20Defence%20Forces
Eritrean Defence Forces
The Eritrean Defence Forces (EDF) () are the combined military forces of Eritrea composed of three branches: Eritrean Army, Eritrean Air Force and Eritrean Navy. The Army is by far the largest, followed by the Air Force and Navy. The Commander-in-Chief of the EDF is the President of Eritrea. Their military role stems from Eritrea's strategic geographical location, located on the Red Sea with a foothold on the Bab-el-Mandeb strait. History Pre-independence Military history in Eritrea stretches back for thousands of years; from ancient times to present day, the society of the Eritreans have dealt with both war and peace. During the kingdom of Medri Bahri, the military fought numerous battles against the invading forces of the Abyssinians to the south and the Ottoman Turks at the Red Sea. During the 16th century the port of Massawa was used by the Ottomans to protect sea lanes from disruption, while more recently it was used by the Italians during their colonial occupation. The kingdom of Medri Bahri was dissolved and the Colony of Eritrea was founded by the Italians in 1890, shortly after the opening of the Suez Canal. When Italian troops occupied Ethiopia in 1936, Eritrean native soldiers (known as Askaris) supported the invading force. However, this was reversed by British and Ethiopian troops in 1941. The Eritrean infantry battalions and cavalry squadrons of the "Regio Corpo Truppe Coloniali" (Royal Colonial Corps) saw extensive service in the various Italian colonial territories between 1888 and 1942. During the war for Eritrea's independence rebel movements (the ELF and the EPLF) used volunteers. In the final years of the struggle for independence, the EPLF ranks grew to 110,000 volunteers (some 3% of the total population). Independence (1991–present) During the first two decades of independence, the EDF formally had the power to detain and arrest civilians, and used this power to help police detain and arrest civilians, which systematically happened for arbitrary reasons. Together with police, EPLF members and government officials, the EDF carried out widespread torture of Eritreans. Military-run prisons included the underground Track B (or Tract B) in the west of Asmara, holding 2000 detainees; Adi Abeto near Asmara; Wi'a, 32 km south of Massawa, for holding military prisoners (escaped conscripts and draft evaders) and members of unauthorised religions; Mitire, in north-eastern Eritrea for religious prisoners; Haddis Ma'askar, mostly underground, near the Sawa military base; Ala Bazit in a desert next to the Ala mountains; and Mai Dima near Berakit Mountain for Kunama detainees. Tigray War In the Tigray War, the EDF was attributed the main responsibility for the extrajudicial killing of hundreds of civilians in the Aksum massacre, that mainly took place on 28–29 November 2020 in Aksum, according to investigations by Amnesty International and Human Rights Watch. , just after the publication of the Amnesty International report, Al Jazeera English had not received responses from Eritrean officials, but commented that the Eritrean Minister of Information had stated in January 2021 that "the rabid defamation campaign against Eritrea [was] on the rise again". On 12 November 2021, the U.S. Department of the Treasury's Office of Foreign Assets Control added the EDF to its to its Specially Designated Nationals (SDN) list for being "a government entity that has engaged in, or whose members have engaged in, activities that have contributed to the crisis in northern Ethiopia or have obstructed a ceasefire or peace process to resolve such crisis". Leadership The EDF was led from 1991 by Ogbe Abraha, until 2000, when he was dismissed for his participation in the G-15 group of ministers who called for political change in Eritrea. A prison guard stated that Ogbe died in prison in 2002 from asthma. , the Chief of Staff is Filipos Woldeyohannes. Manpower The Eritrean Defence Forces are considerably small when compared to the largest in Africa such as those of Egypt, Algeria, and Morocco. The size of Eritrea's population is small, particularly when compared to its neighbors. During peacetime the military of Eritrea numbers approximately 45,000 with a reserve force of approximately 250,000. National service Every able bodied man and woman is required to serve ostensibly for 18 months. In this time they receive six months of military training and the balance is spent working on national reconstruction projects. This is outlined in both the Constitution of Eritrea and Proclamation 82 issued by the National Assembly on 1995-10-23. However, the period of enlistment may be extended during times of national crisis and the typical period of national service is considerably longer than the minimum. This program allegedly aims to compensate for Eritrea's lack of capital and to reduce dependence on foreign aid, while welding together an ethnically diverse society, half Christian and half Muslim, representing nine ethnic groups. Military training is given at the Sawa Defence Training Centre and Kiloma Military Training Centre. Students, both male and female, are required to attend the Sawa Training Centre to complete the final year of their secondary education, which is integrated with their military service. If a student does not attend this period of training, he or she will not be allowed to attend university - many routes to employment also require proof of military training. However, they may be able to attend a vocational training centre, or to find work in the private sector. At the end of the 1½-year national service, a conscript can elect to stay on and become a career military officer. Conscripts who elect otherwise may, in theory, return to their civilian life but will continue to be reservists. In practice, graduates of military service are often chosen for further national service according to their vocation - for example, teachers may be compulsorily seconded for several years to schools in an unfamiliar region of the country. According to the Government of Eritrea, "The sole objective of the National Service program is thus to cultivate capable, hardworking, and alert individuals." Eritrean conscripts are used in non-military capacities as well. Soldiers are often used as supplemental manpower in the country's agricultural fields picking crops, though much of the harvested food is used to feed the military rather than the general population. People's Militia In 2012 the government created People's Militia (known natively as the "Hizbawi Serawit"), to provide additional military training to civilians and assist in development work. Many elderly citizens have been forced to join. Its organizational structure is set up by profession and/or geographic. It serves as a form of national service. In 2013, it was led by Brigadier General Teklai Manjus. References Attribution This article incorporates public domain text from U.S. State Department: Background Notes. Further reading External links ACIG AFVID (Mika Golf's armored vehicles) Eritrean fighting vehicles Hazegray World Navies Today - Eritrea Ascari: I Leoni di Eritrea/Ascari: The Lions of Eritrea. Iran Deploys Troops, Ballistic Missiles To Eritrea Military units and formations established in 1991 1991 establishments in Eritrea Massacres by the Eritrean Defence Forces
9401
https://en.wikipedia.org/wiki/Politics%20of%20Ethiopia
Politics of Ethiopia
The politics of Ethiopia are the activities associated with the governance of Ethiopia. The government is structured as a federal parliamentary republic with both a President and Prime Minister. Government of Ethiopia The government of Ethiopia is structured in the form of a federal parliamentary republic, whereby the Prime Minister is the head of government. Executive power is exercised by the government while legislative power is vested in the Parliament. The Judiciary is more or less independent of the executive and the legislature. There are 10 ethnically based administrative regions and 2 self-governing administrations; the capital city Addis Ababa and Dire Dawa. The president of Ethiopia is elected by the House of Peoples' Representatives for a six-year term. The prime minister is chosen by the parliament. The prime minister is designated by the party in power following legislative elections. The Council of Ministers, according to the 1995 constitution, is comprised by the Prime Minister, the Deputy Prime Ministers, various Ministers and other members as determined and approved by the House of Peoples' Representatives. At the current time, this includes the 20 members of Council of Ministers. The Federal Parliamentary Assembly has two chambers: the Council of People's Representatives (Yehizbtewekayoch Mekir Bet) with 547 members, elected for five-year terms in single-seat constituencies; and the Council of the Federation (Yefedereshn Mekir Bet) with 110 members, one for each nationality, and one additional representative for each one million of its population, designated by the regional councils, which may elect them themselves or through popular elections. The president and vice president of the Federal Supreme Court are recommended by the prime minister and appointed by the House of People's Representatives; for other federal judges, the prime minister submits candidates selected by the Federal Judicial Administrative Council to the People's Representatives for appointment. Recent history In May 1991, a coalition of rebel forces under the name Tigrayan People's Liberation Front (TPLF) overthrew the dictatorship of President Mengistu Haile Mariam. In July 1991, the TPLF, the Oromo Liberation Front (OLF), the Ogaden National Liberation Front, Western Somali Liberation Front, Oromo People's Democratic Organization (OPDO), Amhara National Democratic Movement (ANDM) and others established the Transitional Government of Ethiopia (TGE), which consisted of an 87-member Council of Representatives guided by a national charter that functioned as a transitional constitution. Since 1991, Ethiopia has established warm relations with the United States and western Europe and has sought substantial economic aid from Western countries and the World Bank. In June 1992 the OLF withdrew from the government; in March 1993, members of the Southern Ethiopia Peoples' Democratic Coalition left the government. The Eritrean People's Liberation Front (EPLF), an ally in the fight against the Mengistu regime, assumed control of Eritrea and established a provisional government. Eritrea achieved full independence on May 24, 1993. President Meles Zenawi and members of the TGE pledged to oversee the formation of a multi-party democracy. The first election for Ethiopia's 547-member constituent assembly was held in June 1994. This assembly adopted the constitution of the Federal Democratic Republic of Ethiopia in December 1994. The elections for Ethiopia's first popularly chosen national parliament and regional legislatures were held in May and June 1995. Most opposition parties chose to boycott these elections. There was a landslide victory for the Ethiopian People's Revolutionary Democratic Front (EPRDF). International and non-governmental observers concluded that opposition parties would have been able to participate had they chosen to do so. The Government of the Federal Democratic Republic of Ethiopia was installed in August 1995. The first President was Negasso Gidada. The EPRDF-led government of Prime Minister Meles promoted a policy of ethnic federalism, seemingly devolving significant powers to regional, ethnically based authorities. Ethiopia today has nine semi-autonomous Regions of Ethiopia that have the power to raise and spend their own revenues. In 2004, the government began a resettlement initiative to move more than two million people away from the arid highlands of the east, proposing that these resettlements would reduce food shortages. The ruling party, EPRDF was declared a winner by the election board in 2000, and then again in 2005 amidst protests and riots that led to the death of many Ethiopians. Hundreds of political leaders–some of whom were elected to parliamentary positions– were arrested in connection with these protests. The incumbent president in 2013 was Mulatu Teshome who resigned in 2018. As of February 2006, hundreds of politicians remained in custody, facing trial in March. About 119 people are currently facing trial, including journalists for defamation and opposition party leaders for treason. Human rights organisations have raised concerns over the well-being of some of these prisoners. However 8,000 prisoners have already been freed. Concerns about the implications of these trials for the freedom of the press have also been raised. According to the US Department of State 2009 human rights report, there are hundreds of political prisoners in Ethiopia. Among them is Birtukan Midekssa, the leader of Unity for Democracy and Justice, the largest opposition party. Fundamental freedoms, including freedom of the press, are, in practice, circumscribed. On 5 August 2016 protests broke out across the country and dozens of protesters were shot and killed by police over the following days. The protesters demanded an end to human rights abuses, the act of land grabbing by the ruling party members and relatives of the higher officials, the master plan intended to expand Addis Ababa onto surrounding zones of the Oromia region including the farm land of oromo people (special zones of oromia around Addis Ababa), the release of political prisoners, a fairer redistribution of the wealth generated by over a decade of economic growth, and a return of Wolqayt District to the Amhara Region. The events were the most violent crackdown against protesters in Sub-Saharan Africa since the Ethiopian regime killed at least 75 people during protests in the Oromia Region in November and December 2015. In the wake of significant unrest, the TPLF lost control of the EPDRF, with Prime Minister Hailemariam Desalegn, announcing his resignation as head of the EPDRF in 2018. Abiy Ahmed, who had become Prime Minister after winning the EPDRF leadership elections in April 2018 subsequently dissolved the EPDRF. He replaced it with the Prosperity Party, a coalition which includes all former members of the EPDRF but notably excluded the TPLF. This kickstarted a period of growing tension between the government and the TPLF, which culminated in the Tigray War that began in 2020. Political parties and elections In the 2015 general election, Opposition parties lost the only seat which they still held in the House of Peoples' Representatives. The Ethiopian People’s Revolutionary Democratic Front and its allies won all 547 seats. Political pressure groups include the Council of Alternative Forces for Peace and Democracy in Ethiopia (CAFPDE) Beyene Petros and the Southern Ethiopia People's Democratic Coalition (SEPDC) [Beyene Petros]. The coalition of opposition parties and some individuals that was established in 2009 to oust at the general election in 2010 the regime of the TPLF, Meles Zenawi’s party that has been in power since 1991, published a 65-page manifesto in Addis Ababa on October 10, 2009. Some of the eight-member parties of this Ethiopian Forum for Democratic Dialogue (FDD or Medrek in Amharic) include the Oromo Federalist Congress (organized by the Oromo Federalist Democratic Movement and the Oromo People’s Congress), the Arena Tigray (organized by former members of the ruling party TPLF), the Unity for Democracy and Justice (UDJ, whose leader was imprisoned), and the Coalition of Somali Democratic Forces. 2005 Ethiopian general elections Ethiopia held its third general election in May 2005, which drew a record number of voters, with 90% of the electorate turning out to cast their vote. While the election was deemed by the European Union election observer team to fall short of international standards for fair and free elections, other teams drew different conclusions. The African Union report on September 14 commended "the Ethiopian people's display of genuine commitment to democratic ideals and on September 15 the US Carter Center concluded that "the majority of the constituency results based on the May 15 polling and tabulation are credible and reflect competitive conditions". The US Department of State said on September 16, "these elections stand out as a milestone in creating a new, more competitive multi-party political system in one of Africa's largest and most important countries." Even the EU preliminary statement of 2005 also said "...the polling processes were generally positive. The overall assessment of the process has been rated as good in 64% of the cases, and very good in 24%". The opposition complained that the ruling EPRDF engaged in widespread vote rigging and intimidation, alleging fraud in 299 constituencies. The ruling party complained that the main opposition party CUD's AEUP sub party had engaged in intimidation. All allegations were investigated by the National Electoral Board of Ethiopia in cooperation with election monitors, a process which delayed the release of the final results. In June 2005, with the results of the election still unclear, a group of university students protested these alleged discrepancies, encouraged by supporters of the Coalition for Unity opposition party, despite a ban on protests imposed by the government. On June 8, 26 people were killed in Addis Ababa as a result of rioting, which led to the arrest of hundreds of protesters. On September 5, 2005, the National Elections Board of Ethiopia released the final election results, which confirmed that the ruling Ethiopian People's Revolutionary Democratic Front retained its control of the government, but showed that opposition parties had increased their share of parliamentary seats, from 12 to 176. The Coalition for Unity and Democracy won all the seats in Addis Ababa, both for the Parliament and the City Council. Street protests broke out again when the opposition called for a general strike and boycotted the new Parliament, refusing to accept the results of the election. The police forces once again attempted to contain the protests, and this time, 42 people were killed in Addis Ababa, including seven policemen, and another of whom later died because of fatal injuries caused by a hand grenade detonation. Thousands were arrested, and were taken to various detention centers across the country. As of February 2006, six hundred remained in custody, facing trial in March. On 14 November, the Ethiopian Parliament passed a resolution to establish a neutral commission to investigate the incidents of June 8 and November 1 and 2. In February 2006, UK Prime Minister Blair, acknowledging that the EPRDF has won the election, said he wanted to see Ethiopia resolve its internal problems and continue on a democratic path. With Ethiopia’s national election in May 2010 approaching, some opposition groups begun to hint a boycott, accusing the government of stepping up harassment against them. Despite growing claims of "harassment" and "undemocratic actions" perpetrated by the ruling party, the Forum for Democratic Dialogue (FDD), Ethiopia’s biggest alliance of opposition political parties declared in October 2009 that it will contest in the scheduled election. Gebru Asrat, a former ally of PM Meles Zenawi, said that his party’s primary efforts were "to engage in negotiation with the government on key election issues" ahead of the election, but he added that the government was reluctant. FDD insists to engage in a pre-election negotiation on 10 key subjects, among which the issues of access to the media for campaigning, the supremacy of law, the free access of international observers, the establishment of an independent electoral board and a stop to harassment and pressure on opposition members. 2010 Ethiopian general elections The EPRDF won the 2010 elections by a landslide, taking 499 seats, while allied parties took a further 35. Oppositions parties took just 2. Both opposition groups say their observers were blocked from entering polling stations during the election on Sunday, May 23, and in some cases the individuals were beaten. The United States and the European Union have both criticized the election as falling short of international standards. Additionally, the EPRDF won all but one of 1,904 council seats in regional elections. International organization participation ACP, AfDB, ECA, FAO, G-24, G-77, IAEA, IBRD, ICAO, ICRM, IDA, IFAD, IFC, IFRCS, IGAD, ILO, IMF, IMO, Intelsat, Interpol, IOC, IOM (observer), ISO, ITU, NAM, OAU, OPCW, United Nations, UNCTAD, UNESCO, UNHCR, UNIDO, UNU, UPU, WCO, WFTU, WHO, WIPO, WMO, WToO Scheye wrote in 2010 that significant donor resources are being invested in security sector reform in Ethiopia because of donor national interest, even though the country's ruling group is ideologically opposed to the core principles of SSR, and showed, at that time, little interest in justice and security sector development. The Guardian wrote just before the 2015 elections that "..the EPRDF's relations with donors are a crucial factor in maintaining its position. Ethiopia remains structurally dependent on aid, with the country receiving more than $3 billion a year from the Organisation for Economic Co-operation and Development. However, all indications are that external support will remain strong, regardless of electoral openness. Ethiopia is a key partner for countries concerned about security in the region, especially the US, UK and the European Union." Royalists and government in exile A group of Ethiopian royalists continue to operate The Crown Council of Ethiopia as a government in exile. References External links The Parliament of Ethiopia Constitution of Ethiopia
9405
https://en.wikipedia.org/wiki/Ethiopian%20National%20Defense%20Force
Ethiopian National Defense Force
The Ethiopian National Defense Force (ENDF) () is the military force of Ethiopia. Civilian control of the military is carried out through the Ministry of Defense, which oversees the Ground Forces, Air Force, as well as the Defense Industry Sector. History The Ethiopian army's origins and military traditions date back to the earliest history of Ethiopia. Due to Ethiopia's location between the Middle East and Africa, it has long been in the middle of Eastern and Western politics and has been subject to foreign invasion and aggression. In 1579, the Ottoman Empire's attempt to expand from a coastal base at Massawa was defeated. The Army of the Ethiopian Empire was also able to defeat the Egyptians in 1876 at Gura, led by Ethiopian Emperor Yohannes IV. Clapham wrote in the 1980s that the "Abyssinians [had suffered] from a 'superiority complex' which may be traced to Gundet, Gura and Adwa". Following the order of the emperor of Ethiopia, Nikolay Leontiev directly organized the first battalion of the regular Ethiopian army in February 1899. Leontiev formed the first regular battalion, the kernel of which became the company of volunteers from the former Senegal shooters, which he chose and invited from Western Africa, with the training of the Russian and French officers. The first Ethiopian military band was organized at the same time. Ethiopian Empire Battle of Adwa The Battle of Adwa is the best-known victory of Ethiopian forces over foreign invaders. It maintained Ethiopia's existence as an independent state. Fought on 1 March 1896 against the Kingdom of Italy near the town of Adwa, it was the decisive battle of the First Italo–Ethiopian War. Assisted by all of the major nobles of Ethiopia, including Alula Abanega, Negus, Tekle Haymanot of Gojjam, Sebhat Aregawi, Ras Makonnen, Ras Mengesha Yohannes, and Ras Mikael of Wollo, Emperor Menelek II of Ethiopia struck a powerful blow against the Italian army. The Ethiopian army had been able to execute the strategic plan of Menelik's headquarters, despite a feudal system of organization and adverse circumstances. A special role was played by the Russian military advisers and the volunteers of Leontiev's mission. Secondly, the Ethiopian army was based on a feudal system of organization, and as a result, nearly the entire army was a peasant militia. Russian military experts advising Menelik II suggested trying to achieve full battle collision with Italians, to neutralize the superior firepower of their opponent and potentially nullify their problems with arms, training, and organization, rather than engaging in a campaign of harassment. In the battle that ensued wave upon wave of Menelik's warriors successfully attacked the Italians. Preserving Ethiopian independence During the Scramble for Africa, Ethiopia remained the only nation that had not been colonized by European colonial powers, due in part to their defeat of Italy in the First Italo-Ethiopian War. However, with Ethiopia surrounded by European colonies, the necessity of ensuring that the Ethiopian army was well-maintained became apparent to the Ethiopian government. The Ethiopian government trained its troops to a very high degree, with Russian military officer Alexander Bulatovich writing thus: "Many consider the Ethiopian army to be undisciplined. They think that it is not in any condition to withstand a serious fight with a well-organized European army, claiming that the recent war with Italy doesn't prove anything. I will not begin to guess the future and will say only this. Over the course of four months, I watched this army closely. It is unique in the world. And I can bear witness to the fact that it is not quite so chaotic as it seems at first glance, and that on the contrary, it is profoundly disciplined, though in its own unique way. For every Abyssinian, war is normal business, and military skills and rules of army life in the field enter in the flesh and blood of each of them, just as do the main principles of tactics. On the march, each soldier knows how to arrange necessary comforts for himself and to conserve his strength; but on the other hand, when necessary, he shows such endurance and is capable of action in conditions which are difficult even to imagine. You see remarkable expediency in all the actions and skills of this army, and each soldier has an amazingly intelligent attitude toward managing the mission of the battle. Despite such qualities, because of its impetuousness, it is much more difficult to control this army than a well-drilled European army, and I can only marvel at and admire the skill of its leaders and chiefs, of which there is no shortage." In obedience to the agreement with Russia and the order of Menelik II, First Ethiopian officers began to be trained at the First Russian cadet school in 1901. 30 to 40 Ethiopian officers were trained in Russia from 1901 until 1913. Under Haile Selassie I Modernization of the army took place under the regency of Tafari Mekonnen, who later reigned as Emperor Haile Selassie I. He created an Imperial Bodyguard, the Kebur Zabagna, in 1917 from the earlier Mahal Safari who had traditionally attended the Ethiopian Emperor. Its elite was trained at the French military academy at Saint-Cyr or by Belgian military advisers. He also created his own military school at Holeta in January 1935. Ethiopian military aviation efforts were initiated in 1929 when Tafari Mekonnen hired two French pilots and purchased four French biplanes. By the time of the Italian invasion of 1935, the air force had four pilots and thirteen aircraft. However, these efforts were not sufficient nor instituted in enough time to stop the rising tide of Italian fascism. Ethiopia was invaded and occupied by Italy during the Italian invasion of Ethiopia of 1935–36, marked for Ethiopia's first time being occupied by a foreign power. Ethiopia's patriots managed to resist and defeat the fascist Italian force after the 1941 East African Campaign of World War II with the help of British, South African and Nigerian forces. This made Ethiopia the only country in Africa that has never been colonized. After the Italians had been driven from the country, a British Military Mission to Ethiopia (BMME), under Major General Stephen Butler, was established to reorganize the Ethiopian Army. The Anglo-Ethiopian Agreement of 1944 removed the BMME from the jurisdiction of East Africa Command at Nairobi and made it responsible to the Ethiopian Minister of War. Ethiopia bought twenty AH-IV tankettes from Czechoslovakia in the late 1940s. They were based on the Romanian R-1 variant and arrived in Djibouti on 9 May 1950 after which they were carried by rail to Addis Ababa. They were used until the 1980s when they participated in the fighting against Somalia. Korean War In keeping with the principle of collective security, for which Haile Selassie was an outspoken proponent, Ethiopia sent a contingent under General Mulugeta Buli, known as the Kagnew Battalion, to take part in the Korean War. It was attached to the American 7th Infantry Division, and fought in several engagements including the Battle of Pork Chop Hill. 3,518 Ethiopian troops served in the war, of which 121 were killed and 536 wounded. On May 22, 1953, a U.S.-Ethiopian Mutual Defense Assistance Agreement was signed. A U.S. Military Assistance Advisory Group was dispatched to Ethiopia and began its work by reorganizing the army into three divisions. On 25 September 1953, Selassie created the Imperial Ministry of National Defense that unified the Army, Air Force, and Navy. By 1956, the First Division had its headquarters at Addis Ababa (First, Second, Third Brigades, 5,300 strong); the Second Division was headquartered at Asmara, with the Fifth, Sixth, Seventh, Eighth, and Twelfth Brigades (4,500 strong); and Third Division Harar (with the Fourth, Ninth, Tenth, and Eleventh Brigades, 6,890 strong) respectively. The three divisions had a total of 16,832 troops. In May 1959, the Emperor established the Imperial Territorial Army as a reserve force that provided military training to civil servants. In 1960 the U.S. Army Area Handbook for Ethiopia described the very personalized command arrangements then used by the Emperor: The Emperor is by constitutional provision Commander-in-Chief, and to him are reserved all rights respecting the size of the forces and their organization and command, together with the power to appoint, promote, transfer and dismiss military officers. He seeks the advice and consent of Parliament in declaring war. Traditionally, he assumes personal command of the forces in time of war.' The Office of the Chief of Staff of the Imperial Ethiopian Armed Forces directed the Commanders of the Army, Air Force, and Navy, and the three army divisions were directly responsible to the Commander of the Army. The three divisions seemingly included the Third Division in the Ogaden, seen as a hardship post. While technically the Imperial Bodyguard (Kebur Zabagna) was responsible to the Army Commander, in reality, its commander received his orders directly from the Emperor. Balambaras Abebe Aregai was one of the noted patriotic resistance leaders of Shoa (central Ethiopia) that rose to preeminence in the post-liberation period. He became Ras, a general and minister of defense of the Imperial Ethiopian Armed Forces until his death in the 1960 Ethiopian coup attempt. Ethiopia contributed troops for the United Nations operation in the Congo – the United Nations Operation in the Congo - from July 1960. By 20 July 1960, 3,500 troops for ONUC had arrived in the Congo. The 3,500 consisted of 460 troops from Ethiopia (later to grow into the Tekil Brigade) as well as troops from Ghana, Morocco and Tunisia. Ethiopian Emperor Haile Selassie raised some 3,000 Imperial Bodyguard personnel- about 10 percent of the Ethiopian army's entire strength at that time-and made it part of the UN peacekeeping force in the Congo, along with an air force squadron. This volunteer battalion from the Imperial Bodyguard were authorized by the Emperor. The Tekil (or “Tekel”) Brigade was stationed in Stanleyville. Aman Mikael Andom commanded the Third Division during the 1964 Ethiopian–Somali Border War. He later became chief of staff of the Armed Forces in July 1974, and then Minister of Defense. He then became chairman of the Derg from September to December 1974. Emperor Haile Selassie divided the Ethiopian military into separate commands. The US Army Handbook for Ethiopia notes that each service was provided with training and equipped from different foreign countries "to assure reliability and retention of power." The military consisted of the following: Imperial Bodyguard (also known as the "First Division", 8,000 men); three army divisions; services which included the Airborne, Engineers, and Signal Corps; the Territorial Army (5,000 men); and the police (28,000 men). Among reported U.S. equipment deliveries to Ethiopia were 120 M59 and 39 M75 armored personnel carriers. Seizure of power by the Derg 1974 and aftermath The Coordinating Committee of the Armed Forces, Police, and Territorial Army, or the Derg (Amharic "Committee"), was officially announced 28 June 1974 by a group of military officers to maintain law and order due to the powerlessness of the civilian government following widespread mutiny in the armed forces of Ethiopia earlier that year. Its members were not directly involved in those mutinies, nor was this the first military committee organized to support the administration of Prime Minister Endelkachew Makonnen: Alem Zewde Tessema had established the Armed Forces Coordinated Committee on 23 March. However, over the following month's radicals in the Ethiopian military came to believe he was acting on behalf of the hated aristocracy, and when a group of notables petitioned for the release of several government ministers and officials who were under arrest for corruption and other crimes, three days later the Derg was announced. The Derg, which originally consisted of soldiers at the capital, broadened its membership by including representatives from the 40 units of the Ethiopian Army, Air Force, Navy, Kebur Zabagna (Imperial Guard), Territorial Army and Police: each unit was expected to send three representatives, who were supposed to be privates, NCOs, and junior officers up to the rank of major. According to Bahru Zewde, "senior officers were deemed too compromised by close association to the regime." The committee elected Major Mengistu Haile Mariam as its chairman and Major Atnafu Abate as its vice-chairman. The Derg was initially supposed to study various military units' grievances, investigate abuses by senior officers and staff, and root out corruption in the military. In the months following its founding, the power of the Derg steadily increased. In July 1974 the Derg obtained key concessions from the Emperor, Haile Selassie, which included the power to arrest not only military officers but government officials at every level. Soon both former Prime Ministers Tsehafi Taezaz Aklilu Habte-Wold, and Endelkachew Makonnen, along with most of their cabinets, most regional governors, many senior military officers, and officials of the Imperial court found themselves imprisoned. When the Derg gained control of Ethiopia, they lessened their reliance on the West. Instead, they began to draw their equipment and their sources for organizational and training methods from the Soviet Union and other Comecon countries, especially Cuba. During this period, Ethiopian forces were often locked in counter-insurgency campaigns against various guerrilla groups. They honed both conventional and guerrilla tactics during campaigns in Eritrea, and by repelling an invasion launched by Somalia in the 1977–1978 Ogaden War. The Ethiopian army grew considerably under the Derg (1974–1987), and the People's Democratic Republic of Ethiopia under Mengistu (1987–1991), especially during the latter regime. The Library of Congress estimated forces underarms in 1974 at 41,000. By July 1975 the International Institute for Strategic Studies was listing a mechanised division in addition to three infantry divisions. Ayele writes that in November 1975, the "Nabalbal" ("Flame") force was created, subdivided into battalion-sized units of 400. Each battalion-sized unit was known as a hayl (force), and 20 were created within sixteen months. The "Nabalbal" units entered combat in 1977. When Ethiopian intelligence sources discovered Somali planning to seize the Ogaden, militia brigades were also created; first 30, then a total of 61 brigades totaling 143,350 by 1977–78. It appears that there were five regular line divisions active by the time of the 1977 Ogaden War, and the Library of Congress estimated the force size at the time as 53,500. With significant Soviet assistance, after that point the army's size grew rapidly; in 1979 it was estimated at 65,000. The 18th and 19th Mountain Infantry Divisions were then established in 1979-80 originally to seize Nakfa, in the Sahel Mountains, one of the remaining strongholds of the Eritrean insurgents. By the beginning of 1981 recruitment for the 21st and 22nd Mountain Infantry Divisions was underway; soon afterward, preparations for the large Operation Red Star were stepping up. In April 1988 the Derg reorganized the army. The restoration of relations with Somalia meant that forces could be transferred from the First Revolutionary Army in the Ogaden, to the Second and Third Revolutionary Armies, the Third (TRA) being responsible for the provinces of Assab, Tigray, Wello, Gondar, and Gojjam. The very small Fourth Revolutionary Army became responsible for protecting the border with Kenya and those with Somalia and Sudan. In the place of the previous commands, thirteen corps were established instead, distributed amongst the army headquarters. Intensive efforts were made to enlist additional personnel. Total manpower after the reorganization reached a reported 388,000. In May 1988 the Derg decided that before it could concentrate on destroying the EPLF, it would have to first eliminate the TPLF. Thus Operation Adwa was devised to seize the main TPLF base at Adi Ramets in Gondar Province. The Third Revolutionary Army's 603rd and 604th Corps were to play the main role, while the 605th Corps secured the rear, in Wello. The TRA's command structure was disrupted when Major General Mulatu Negash, the army commander, was supplanted by the arrival of Mengistu's favorite, Captain Lagesse Asfaw. Cuba provided a significant influx of military advisors and troops over this period, with the largest escalation during the Ogaden War with Somalia, supported by a Soviet airlift: 1977–1978: 17,000 (Ogaden War) 1978: 12,000 1984: 3,000 1989: All forces withdrawn 1990-91 Order of Battle Gebru Tareke listed Ethiopian ground forces in 1990 as comprising four revolutionary armies organized as task forces, eleven corps, twenty-four infantry divisions, and four mountain divisions, reinforced by five mechanized divisions, two airborne divisions, and ninety-five brigades, including four mechanized brigades, three artillery brigades, four tank brigades, twelve special commandos and para commandos brigades – including the Spartakiad, which became operational in 1987 under the preparation and guidance of North Koreans – seven BM-rocket battalions, and ten brigades of paramilitary forces. Forces underarms were estimated at 230,000 in early 1991. Mengistu's People's Militia had also grown to about 200,000 members. The mechanized forces of the army comprised 1,200 T-54/55, 100 T-62 tanks, and 1,100 armored personnel carriers (APCs), but readiness was estimated to be only about 30 percent operational, because of the withdrawal of financial support, lack of maintenance expertise and parts from the Soviet Union, Cuba, and other nations. The army commands consisted of the: First Revolutionary Army (headquartered at Harar, 1988: 601st and 602nd Corps) Second Revolutionary Army (headquartered at Asmera, 1988: 606th-610th Corps) Third Revolutionary Army (headquartered at Kombolcha, 1988: 603rd, 604th, 605th Corps) Fourth Revolutionary Army (headquartered at Nekemte, 1988: 611th, 612th, 614th Corps) Fifth Revolutionary Army (headquartered at Gondar) To these armies were assigned the operational forces of the army, comprising: 31 infantry divisions. The 30th and 31st Infantry Divisions were the last formed, circa November–December 1989. There were also the 102nd Airborne Division and 103rd Commando Divisions, which began training in January 1987. 32 tank battalions 40 artillery battalions 12 air defense battalions 8 commando brigades From 1991 In 1991 Mengistu's government was overcome by the Ethiopian People's Revolutionary Democratic Front (EPRDF), People's Front for Democracy and Justice (PFDJ, former EPLF), Oromo Liberation Front (OLF) and other opposition factions. After the defeat of the military government, the provisional government disbanded the former national army and relied on its own guerrilla fighters. In 1993, however, the Tigrayan-led government announced plans to create a multi-ethnic defense force. This process entailed the creation of a new professional army and officer class and the demobilization of many of the irregulars who had fought against the military government. With the collapse of the Soviet Union Ethiopia again turned to the Western powers for alliance and assistance. However, many Tigrayan officers remained in command positions. This transformation was still underway when war with Eritrea broke out in 1998, a development that saw the ranks of the armed forces swell along with defense expenditures. Although the armed forces have significant battlefield experience, their militia orientation has complicated the transition to a structured, integrated military. Ranks and conventional units were only adopted in 1996. A United States-assisted effort to restructure the armed forces was interrupted by mobilization for the war with Eritrea. The Ethiopia-Eritrea war The former allies EPRDF and PFDJ (former EPLF) led their countries Ethiopia and Eritrea, respectively, into the Eritrean-Ethiopian War of 1998. The war was fought over the disputed region of Badme. During the course of the war, some commanders and pilots from the former army and air force were recalled to duty. These officers helped turn the tide decisively against Eritrea in 2000. Following the war's end, the Eritrea-Ethiopia Boundary Commission, a body founded by the UN, established that the Badme region had in fact belonged to Eritrea. Although the two countries are now at peace, Ethiopia rejected the results of the international court's decision, and continued to occupy Badme. Most observers agree that Ethiopia's rejection of international law, coupled with the high numbers of soldiers maintained on the border by each side – a debilitatingly high number, particularly for the Eritrean side – means that the two countries are effectively still in conflict. After the September 11 attacks in 2001, the Ethiopian army began to train with the U.S. Combined Joint Task Force - Horn of Africa (CJTF-HOA) established in Djibouti. Ethiopia allowed the US to station military advisors at Camp Hurso. Part of the training at Camp Hurso has included U.S. Army elements, including 4th Battalion, 31st Infantry, training the 12th, 13th and 14th Division Reconnaissance Companies, which from July 2003 were being formed into a new Ethiopian anti-terrorism battalion. Ogaden Government forces have been engaged in a battle against Ogaden insurgents led by the Ogaden National Liberation Front. Somalia Ethiopian troops invaded Somalia in 2006 on the pretext of security concerns over Ogaden. In December 2006, the ENDF entered Somalia to confront the Islamic Courts Union, initially winning the Battle of Baidoa. This led to the seizure of Mogadishu by Ethiopian troops and TFG militias and subsequent heavy fighting there. After the Islamists split into two groups, moderate Islamists led by Sharif Sheikh Ahmed signed a UN backed peace deal with the TFG and established a larger government in Mogadishu. Ethiopian troops withdrew as part of the terms of the peace deal. Gabre Heard commanded the forces in Somalia. The force of about 3,000 Ethiopian troops faced war crimes allegations by rights groups. The Transitional Federal Government who invited them were also accused of human rights abuses and war crimes including murder, rape, assault, and looting by human rights groups In their December 2008 report 'So much to Fear' Human Rights Watch warned that since the Ethiopians had intervened in 2006 Somalia was facing a humanitarian catastrophe on a scale not witnessed since the early 1990s. They went on to accuse the TFG of terrorizing the citizens of Mogadishu and the Ethiopian soldiers for increasing violent criminality. Analysts suggested that the move was primarily motivated by financial considerations, with the Ethiopian forces' operational costs now slated to be under AMISOM's allowance budget. It is believed that the Ethiopian military's long experience in Somali territory, its equipment such as helicopters, and the potential for closer coordination will help the allied forces advance their territorial gains. As of 2014, the Ethiopian troops in Somalia have been integrated into the AMISOM peacekeeping force. According to Ethiopian Ministry of Foreign Affairs spokesperson Ambassador Dina Mufti, the Ethiopian military's decision to join AMISOM is intended to render the peacekeeping operation more secure. Tigray War On 8 November 2020, ENDF troops backed by militias from the Amhara and the Eritrean Defence Forces regions were deployed to the Tigray Region in response to a coordinated 'preemptive strike' by TPLF against the Northern Command of ENDF. Since the beginning of the conflict, ENDF personnel has been accused of involvement in alleged war crimes against civilians in the Tigray Region. These mere accusations include rape and other gender based violence, as well as extrajudicial killings in Hagere Selam, Hitsats, Humera, Debre Abbay, and other areas where the conflict is ongoing. The prime minister of Ethiopia, Abiy Ahmed, has publicly acknowledged the possibility of war crimes taking place within the Tigray Region. Abiy did not however link these actions to the Ethiopian military, and instead cited such reports were likely "propaganda of exaggeration" by the Tigray People's Liberation Front, currently opposing federal forces in the northern region. The Italian weekly magazine Panorama published a graphic video in which Amharic-speaking ENDF soldiers killed a group of 9 people in Humera in August 2021 and then put their bodies on fire. The video also shows torturing of one man by Amhara soldiers, then tying him up, preparing to throw him in the river. Size and strength The size of the ENDF has fluctuated significantly since the end of the Ethiopia-Eritrea war in 2000. In 2002 the Ethiopian Defense Forces had a strength of approximately 250,000-350,000 troops. This was roughly the same number maintained during the Derg regime that fell to the rebel forces in 1991. However, that number was later reduced, and in January 2007, during the War in Somalia, Ethiopian forces were said to comprise about 300,000 troops. In 2012, the IISS estimated that the ground forces had 135,000 personnel and the air force 3,000. As of 2012, the ENDF consists of two separate branches: the Ground Forces and the Ethiopian Air Force. Ethiopia has several defense industrial organizations that produce and overhaul different weapons systems. Most of these were built under the Derg regime which planned a large military industrial complex. The ENDF relies on voluntary military service of people above 18 years of age. Although there is no compulsory military service, armed forces may conduct call-ups when necessary and compliance is compulsory. Being a landlocked country, Ethiopia today has no navy. Ethiopia reacquired a coastline on the Red Sea in 1950 and created the Ethiopian Navy in 1955. Eritrean independence in 1991 left Ethiopia landlocked again, but the Ethiopian Navy continued to operate from foreign ports until it finally was disbanded in 1996. Peacekeeping Ethiopia has served in various United Nations and African Union peacekeeping missions. These have included Ivory Coast, on the Burundi border, and in Rwanda. Two major previous Ethiopian missions were in Liberia and Darfur. The United Nations Mission in Liberia (UNMIL) was established by United Nations Security Council Resolution 1509, of 19 September 2003, to support the implementation of the ceasefire agreement and the peace process, protect United Nations staff, facilities and civilians, support humanitarian and human rights activities; as well as assist in national security reform, including national police training and formation of a new, restructured military. In November 2007, nearly 1,800 Ethiopian troops serving with the United Nations Mission in Liberia (UNMIL) were presented with UN Peacekeeping medals for their "invaluable contribution to the peace process." Up to three Ethiopian battalions used to constitute Sector 4 of the UN Mission, covering the southern part of the country. The mission ended in 2018. Many thousands of Ethiopian peacekeepers were also involved in the hybrid United Nations–African Union Mission in Darfur (UNAMID) in western Sudan. The Security Council authorized a force of about 26,000 uniformed personnel. The Darfur mission was shut down in 2020–21. Ethiopia also provides the entire force for the UN's Abyei mission, the United Nations Interim Security Force for Abyei. An Ethiopian officer commands the force. Defence Day National Defence Day is celebrated annually on 14 February, and serves as the holiday of the ENDF. It was first celebrated for the first time in 2013. It is celebrated for four days. It celebrates the establishment, on 14 February 1996, of the military. See also African military systems after 1900 DAVEC Ethiopian Air Force Ethiopian Navy References Citations Bibliography Library of Congress Federal Research Division, Country Profile: Ethiopia, April 2005, accessed July 2012. Further reading Adejumobi and Binega, Budgeting for the Military Sector in Africa, Ch. 3 Bendix, Daniel ; Stanley, Ruth. / Security Sector Reform in Africa. The Promise and the Practice of a New Donor Approach. In: Accord Occasional Paper Series. 2008 ; Vol. 3, No. 2 - includes a note indicating British supported SSDAT/DfID/FCO/MOD defense transformation in Ethiopia. Prof Laura Cleary, Ethiopia, in Security Sector Horizon Scanning 2016 - to support Agile Warrior Director Strategy, British Army, Andover, c2016, Jeffrey Isima, Report on the current position with regard to the security sector in Ethiopia, 2003 Mesfin, Berouk, Rebel Movements in Ethiopia, in Caroline Varin, Dauda Abubakar (eds) Violent Non-State Actors in Africa: Terrorists, Rebels and Warlords, Springer, 2017. Laurie Nathan, No Ownership, No Commitment, GfN-SSR/University of Birmingham, 2007. Section on DDR Commission. Colin Robinson, Defence Reform since 1990 in Atieno and Robinson (eds.), Post-conflict Security, Peace and Development: Perspectives from Africa, Latin America, Europe and New Zealand, Springer, 2018. Gebru Tareke, The Ethiopian Revolution: War in the Horn of Africa, Yale Library of Military History Further sources on defense in Ethiopia include SSR in Ethiopia, A Prerequisite for Democracy. External links Military of Ethiopia
9420
https://en.wikipedia.org/wiki/Eindhoven
Eindhoven
Eindhoven ( , ) is the fifth-largest city and a municipality of the Netherlands, located in the south of the country. It had a population of 235,923 in 2021, making it the largest city in the province of North Brabant. Eindhoven was originally located at the confluence of the Dommel and Gender. Neighbouring cities and towns include Son en Breugel, Nuenen, Geldrop-Mierlo, Helmond, Heeze-Leende, Waalre, Veldhoven, Eersel, Oirschot and Best. The agglomeration has a population of . The metropolitan area consists of inhabitants. The city region has a population of 753,426. The Brabantse Stedenrij combined metropolitan area has about two million inhabitants. Etymology The name may derive from the contraction of the regional words eind (meaning "last" or "end") and hove (or hoeve, a section of some 14 hectares of land). Toponymically, eind occurs commonly as a prefix and postfix in local place- and streetnames. A "hove" comprised a parcel of land which a local lord might lease to private persons (such as farmers). Given that a string of such parcels existed around Woensel, the name Eindhoven may have originated with the meaning "last hoves on the land of Woensel". Another explanation is that "Eind" is derived from "Gender", the city is located at the end of this little river. Genderhoven phonetically would have changed to Endehoven. 'Ende' is also the old spelling and pronunciation of the word 'eind', which would explain the change from 'Gender' to 'Eind'. History 13th–15th centuries The written history of Eindhoven started in 1232, when Duke Hendrik I of Brabant granted city rights to Eindhoven, then a small town right on the confluence of the Dommel and Gender streams. At the time of granting of its charter, Eindhoven had approximately 170 houses enclosed by a rampart. Just outside the city walls stood a small castle. The city was also granted the right to organize a weekly market and the farmers in nearby villages were obliged to come to Eindhoven to sell their produce. Another factor in its establishment was its location on the trade route from Holland to Liège. Around 1388, the city's fortifications were strengthened further. And between 1413 and 1420, a new castle was built within the city walls. In 1486, Eindhoven was plundered and burned by troops from Guelders. 16th–18th centuries The reconstruction of Eindhoven was finished in 1502, with a stronger rampart and a new castle. However, in 1543 it fell again, its defense works having been neglected due to poverty. A big fire in 1554 destroyed 75% of the houses but by 1560 these had been rebuilt with the help of William I of Orange. During the Dutch Revolt, Eindhoven changed hands between the Dutch and the Spanish several times during which it was burned down by renegade Spanish soldiers, until finally in 1583 it was captured once more by Spanish troops and its city walls were demolished. Eindhoven did not become part of the Netherlands until 1629. During the French occupation, Eindhoven suffered again with many of its houses destroyed by the invading forces. Eindhoven remained a minor city after that until the start of the Industrial Revolution. 19th century The Industrial Revolution of the 19th century provided a major growth impulse. Canals, roads and railroads were constructed. Eindhoven was connected to the major Zuid-Willemsvaart canal through the Eindhovens Kanaal branch in 1843 and was connected by rail to Tilburg, 's-Hertogenbosch, Venlo and Belgium between 1866 and 1870. Industrial activities initially centred around tobacco and textiles and boomed with the rise of lighting and electronics giant Philips, which was founded as a light bulb manufacturing company in Eindhoven in 1891. Industrialisation brought population growth to Eindhoven. On the establishment of the Kingdom of the Netherlands in 1815, Eindhoven had 2,310 inhabitants. 20th century By 1920, the population was 47,946; by 1925 it was 63,870 and in 1935 that had ballooned to 103,030. The explosive growth of industry in the region and the subsequent housing needs of workers called for radical changes in administration, as the City of Eindhoven was still confined to its medieval moat city limits. In 1920, the five neighbouring municipalities of Woensel (to the north), Tongelre (northeast and east), Stratum (southeast), Gestel en Blaarthem (southwest) and Strijp (west), which already bore the brunt of the housing needs and related problems, were incorporated into the new Groot-Eindhoven ("Greater Eindhoven") municipality. The prefix "Groot-" was later dropped. After the incorporation of 1920, the five former municipalities became districts of the Municipality of Eindhoven, with Eindhoven-Centrum (the City proper) forming the sixth. Since then, an additional seventh district has been formed by dividing the largest district, that of Woensel, into Woensel-Zuid and Woensel-Noord. The early 20th century saw additions in technical industry with the advent of car and truck manufacturing company Van Doorne's Aanhangwagenfabriek (Trailer factory) (DAF) which was later renamed to Van Doorne's Automobiel Fabriek and the subsequent shift towards electronics and engineering, with the traditional tobacco and textile industries waning and finally disappearing in the 1970s. A first air raid in World War II was flown by the RAF on 6 December 1942 targeting the Philips factory downtown, in which 148 civilians died, even though the attack was carried out on a Sunday by low-flying Mosquito bombers. Large-scale air raids, including the bombing by the Luftwaffe on 19 September 1944 during Operation Market Garden, destroyed large parts of the city and killed 227 civilians while leaving 800 wounded. The reconstruction that followed left very little historical remains and the postwar reconstruction period saw drastic renovation plans in highrise style, some of which were implemented. At the time, there was little regard for historical heritage. During the 1960s, a new city hall was built and its Neo-gothic predecessor (1867) demolished to make way for a planned arterial road that never materialised. The 1970s, 1980s, and 1990s saw large-scale housing developments in the districts of Woensel-Zuid and Woensel-Noord, making Eindhoven the fifth-largest city in the Netherlands. 21st century At the start of the 21st century, a whole new housing development called Meerhoven was constructed at the site of the old airport of Welschap, west of Eindhoven. The airport itself, now called Eindhoven Airport, had moved earlier to a new location, paving the way for much-needed new houses. Meerhoven is part of the Strijp district and is partially built on lands annexed from the municipality of Veldhoven. Geography The villages and city that make up modern Eindhoven were originally built on sandy elevations between the Dommel, Gender and Tongelreep rivers. Beginning in the 19th century, the basins of the rivers themselves have also been used as housing land, resulting in occasional flooding in the city centre. Partly to reduce flooding, the bed of the Gender stream, which flowed directly through the city centre, was dammed off and filled up after the War, and the course of the Dommel was regulated. New ecological and socio-historical insights have led to parts of the Dommel's course being restored to their original states, and plans to have the Gender flow through the centre once again. The large-scale housing developments of the 20th century saw residential areas being built on former agricultural lands and woods, former heaths that had been turned into cultivable lands in the 19th century. The city is currently divided into seven districts: Climate Eindhoven has an oceanic climate with slightly warmer summers and colder winters than the coastal parts of the Netherlands. Its all-time record is set on 25 July 2019 and set on 13 January 1968, while winter lows have dipped below during extreme cold snaps. Although frosts are frequent in winter, there is no lasting snow cover in a normal winter due to the mild daytime temperatures. Demographics Population As of 2020, the population of Eindhoven consisted of 355,889 people (according to Worldpopulationreview). Of these, 38.52% or some 63,873 people are of foreign descent. People are classified as being of foreign descent when they were born outside of the Netherlands, or when at least one of their parents was born outside of the Netherlands. The municipal agglomeration of Eindhoven (an administrative construct which includes only some of the surrounding towns and villages) has 327,245 inhabitants as of 1 January 2010. The spoken language is a combination of Kempenlands (a Dutch dialect spoken in a large area east and south east of the city, including Arendonk and Lommel in Belgium) and North Meierijs (between the south of Den Bosch and into Eindhoven). Both dialects belong to the East Brabantian dialect group), which is very similar to colloquial Dutch). Districts Of all Eindhoven districts, the historical centre is by far the smallest in size and population, numbering only 5,419 in 2006. Woensel-Noord is the largest, having been the city's main area of expansion for several decades. Population figures for all districts, as of 1 January 2008, ranked by size: Woensel-Noord (65,429) Woensel-Zuid (35,789) Stratum (31,778) Gestel (26,590) Strijp (25,402) Tongelre (19,680) Centrum (5,757) Religion Eindhoven is located in the southeast of the province of North Brabant. This area is historically Catholic and the population of Eindhoven was similarly mostly Catholic for a very long time until the late 1970s. However, the internationalizing influence of the university, Philips and other companies have created a more mixed population over the last few decades. The spiritual needs of the Eindhoven population are tended to by a steadily shrinking number of churches, two mosques and one synagogue. Crime In research by the Dutch newspaper Algemeen Dagblad based on the police's statistical data on crime rates, Eindhoven was found to have the highest crime rate in the Netherlands for 2006, 2007, 2009, and 2010. In 2011, Eindhoven has slipped down the list to number six. In 2009, in the Eindhoven agglomeration, the following numbers of crimes were recorded: Languages Standard Dutch Eindhoven does not have its own, uniform dialect. Varieties of the Brabantian dialect used to be spoken in the former villages of Gestel, Woensel and Stratum, but are now almost extinct. The closest city to Eindhoven in which Brabantian is spoken is Helmond. Economy Eindhoven has grown from a little town in 1232 to one of the biggest cities in the Netherlands with around 230,000 inhabitants in 2020. Much of its growth is due to Philips, DAF Trucks and Brabantia. After the resurrection of the Netherlands in 1815 and the end of the Belgian Revolution, Eindhoven was a small village of some 1250 people in an economically backward and mostly agricultural area. Cheap land, cheap labor and the existence of pre-industrial homesourcing (huisnijverheid in Dutch) made Eindhoven an attractive area for the developing industries which were being stimulated by the government of King William I. During the 19th century, Eindhoven grew into an industrial town with factories for textile weaving, cigar manufacturing, match making and hat making. Most of these industries disappeared again after World War II, though. In 1891, brothers Gerard and Anton Philips founded the small light bulb factory that would grow into one of the largest electronics firms in the world. Philips' presence is probably the largest single contributing factor to the major growth of Eindhoven in the 20th century. It attracted and spun off many hi-tech companies, making Eindhoven a major technology and industrial hub. In 2005, a full third of the total amount of money spent on research in the Netherlands was spent in or around Eindhoven. A quarter of the jobs in the region are in technology and ICT, with companies such as FEI Company (once Philips Electron Optics), NXP Semiconductors (formerly Philips Semiconductors), ASML, ALTEN, Simac, Neways Electronics and the aforementioned Philips and DAF. Eindhoven has long been a centre of cooperation between research institutes and industry. This tradition started with Philips (the NatLab was a physical expression of this) and has since expanded to large cooperative networks. The Eindhoven University of Technology hosts an incubator for technology startups and the NatLab has developed into the High Tech Campus Eindhoven. Also, TNO has opened a branch on the university campus. This tradition has also fostered inter-industry cooperation in the region; one example of this is the announcement in September 2010 of a new research lab for high-grade packaging materials, a cooperation of IPS Packaging and Thales Cryognetics. This cooperative tradition has also developed into a different direction than the traditional technology research done at the university. Starting in 2002, the university, the Catharina hospital, Philips Medical and the University of Maastricht joined forces and started joint research into biomedical science, technology and engineering. Within Eindhoven, this research has been concentrated in a new university faculty (BioMedical Technology or BMT). This development has also made Eindhoven a biomedical technology hub within the country and its (European) region. Prime examples of industrial heritage in Eindhoven are the renovated Witte Dame ("White Lady") complex, a former Philips lamp factory; and the Admirant building (informally known as Bruine Heer or "Brown Gentleman" in reference to the Witte Dame across the street), the former Philips main offices. The Witte Dame currently houses the municipal library, the Design Academy and a selection of shops. The Admirant has been renovated into an Office building for small companies. Across the street from the Witte Dame and next to the Admirant is Philips' first light bulb factory (nicknamed Roze Baby, or "Pink Baby", in reference to its pink colour and much smaller size when compared to the "White Lady" and "Brown Gentleman"). The small building now houses the "Centrum Kunstlicht in de Kunst" (centre artificial light in art) and the "Philips Incandescent Lamp Factory of 1891" museum. Knowledge economy initiatives Due to its high-tech environment, Eindhoven is part of several initiatives to develop, foster and increase a knowledge economy. Chief among these are: Brainport Top Technology Region, a cooperative initiative of local government, industry and the Eindhoven University of Technology to develop the local knowledge economy of the Eindhoven region. Brainport Development, an extension of the Top Technology Region, Brainport Development serves as the Eindhoven's regional innovation agency to maintain its position as an innovation hub. Samenwerkingsverband Regio Eindhoven, a cooperative agreement among the municipalities in the Eindhoven metropolitan area. The Eindhoven-Leuven-Aachen triangle, a cooperation agreement between the universities and surrounding regions of Eindhoven, Leuven (Belgium) and Aachen (Germany). As a result of these efforts, the Intelligent Community Forum named the Eindhoven metro region the No. 21 intelligent community in 2008 and the No. 7 intelligent community in 2009 and 2010. In 2011, the ICF named Eindhoven the Intelligent Community of the Year. EIT Co-location Eindhoven is one of the co-location centres of the European Institute of Innovation and Technology (EIT). It hosts two Knowledge and Innovation Communities (KICs): Innoenergy (Sustainable Energy) and EIT ICT Labs (Information and Communication Technology). The co-locations are on the High Tech Campus Eindhoven. Education Eindhoven, being a city with a 200,000+ population, is served by a large number of schools both at primary and secondary education levels. In addition, Eindhoven is a higher-education hub within the southern Netherlands, with several institutes of higher education that serve students from the extended region of North Brabant, Zeeland, Limburg and parts of the surrounding provinces. Primary education Primary education is provided to the children aged 4 to 12 in Eindhoven through a large number of primary schools: Special needs primary education: SALTO school Jan Nieuwenhuizen SKPO school De Reis van Brandaan SKPO school Petraschool SALTO school De Vijfkamp Secondary education Secondary education is provided to the children aged 12 to 18 in Eindhoven through several highschools: Special needs secondary education: Sondervickcollege, Locatie de Stolberg De Korenaer Mgr. Bekkers De Beemden Mytylschool Antoon Schellens College Praktijkschool Eindhoven VSO Ekkersbeek Instituut 'St. Marie' Higher and adult education Eindhoven hosts four different public institutions for higher and adult education, as well as a number of private institutions offering courses and trainings. The public institutions hosted in Eindhoven are: The Design Academy. The Eindhoven University of Technology. The Fontys University of Applied Sciences (Eindhoven branch). The Tio University The Open University also has a study center in Eindhoven. Among the private institutions is the Centrum voor Kunsten Eindhoven, which offers art-related courses to adults (including a DJ-education). Politics Municipal council The municipal council is the legislative council at the municipal level in Eindhoven; its existence is mandated by the Constitution of the Netherlands. The Eindhoven city council consists of 45 elected representatives from the Eindhoven municipality. These are elected during municipal elections from candidates running in Eindhoven. Eindhoven politics consists of local branches of the national political parties and purely local parties with strictly local interests. The city council reflects this mix in its makeup. The last three municipal elections were held on 7 March 2006, 3 March 2010 and 19 March 2014. The division of the 45 seats in the Eindhoven city council after these elections is shown below: Municipal executive- Aldermen The executive council in Dutch municipalities is called the College of the Mayor and Aldermen (Dutch: College van Burgemeester en Wethouders or College van B&W for short). The mayor is appointed by the monarch, but the council of aldermen is composed as a result of the formation of a local coalition government. This coalition is formed in such a way as to be able to rely on a majority of the votes in the city council. In May 2014, a coalition was formed between PvdA, D66, SP and GroenLinks. Together they have 26 seats in the city council. The council of aldermen consists of the following people: Mary-Ann Schreurs (D66): innovation and design, sustainability and culture Lenie Scholten (GreenLeft): healthcare and WIJeindhoven Depla (PvdA): economy, work and income and vocational education Bianca van Kaathoven (SP): Active city, diversity and permits Marco van Dorst (D66): Spatial planning and treasury Yasin Torunoglu (PvdA): Living, boroughs, space and citizen participation Jannie Visscher (SP): Youth, education, traffic and transport Mayor The mayors of the Netherlands are not elected but appointed by the crown. Nevertheless, there has been a movement over the last few years to give the municipalities more say in who will be their mayor, which has resulted in consultative referenda being held in the larger cities to "suggest" a candidate for the post. This was also tried in Eindhoven and as a result the previous mayor was Rob van Gijzel (PvdA). On 23 January 2008, a referendum to elect a mayor was held in Eindhoven. This referendum, the second of its kind in the Netherlands, was attended by 24.6% of the inhabitants. This was less than the required 30% needed to make a referendum binding. Nevertheless, the city council would choose the winner of the referendum as the preferred candidate. The main reason for the low attendance was that the candidates, Leen Verbeek and Rob van Gijzel, were from the same party. Rob van Gijzel won the referendum with 61.8% of the votes and was appointed the city's new mayor. The mayor is the chairman of the Council of B&W. He also has responsibility for a number of specific posts (like the aldermen). In the previous council, mayor Van Gijzel held responsibility for the following posts: Communication If unavailable, the mayor is temporarily replaced by one of the aldermen. Culture and recreation Culturally and recreationally, Eindhoven was formed by two forces: Being a university city, Eindhoven has a large student population. The students from the Eindhoven University of Technology and a number of undergraduate schools give Eindhoven a young population, whose recreational needs are catered to by several different festivals, clubs and such. For a long time Eindhoven was the main location of Philips. The Philips company undertook a lot of effort in the "cultural formation" of its workforce and has given the city both cultural institutions (such as the former POC and the Muziekcentrum Frits Philips) and sporting institutions (notably PSV). Eindhoven is also known as the City of Light, due to Philips originating from there and because of several projects involving lighting up buildings of the city. During Carnival, Eindhoven is rechristened Lampegat (Hamlet of Lamps, although for the ironic purposes of carnival the translation Hole in the ground with lamps is closer to the mark); this refers again to the important role of Philips in the Eindhoven community. Cultural institutions There are several cultural institutions in and around the city. Museums There are two museums dedicated to the major topics of the city's industrial heritage: the DAF Museum has a collection of DAF cars and the Philips Gloeilampenfabriekje anno 1891 (across the street from the Kempenland) documents the early lightbulb industry. The former district court house now houses the Designhuis, a public podium and interaction area for modern design and innovation. The Eindhoven Museum is an archaeological open-air museum which focuses on the region's Iron Age and Middle Ages. It merged in 2011 with Museum Kempenland which was a regional museum, which documents the history of the Kempenland region in objects, documents, paint and educational activities. Museum Kempenland's old location, the Steentjeskerk, is closed. The Inkijkmuseum (the Look-In museum; housed in an old linen factory in the Dommelstraat) is a small but special museum: it offers ever-changing exhibits, which are to be viewed through the building's windows. The Van Abbemuseum has a collection of modern and contemporary art, including works by Picasso, Kandinsky, Mondriaan and Chagall. De Ontdekfabriek (Discovery Factory) children's museum at Strijp-S Eindhoven was home to the Evoluon science museum, sponsored by Philips. The Evoluon building has evolved into a conference centre. Open-air art The Eindhoven public space contains many forms of artistic expression (a book published by the Eindhoven tourist board records 550 as of 2001 and more have been added since), with high "concentrations" of them in the parks. The Stadswandelpark for instance, contains over 30 works of modern art. There are also several other works of art on permanent display throughout the city, such as Flying Pins (by Claes Oldenburg and Coosje van Bruggen, who considered the location on the southern stretch of the John F. Kennedylaan to be like a bowling alley) and Swing (a construct on the Karel de Grotelaan, which morphs into different geometric shapes as you move around it). There are also a number of statues of famous city inhabitants, such as Jan van Hooff (by Auke Hettema, 1992) and Frits Philips (by Kees Verkade) on the Market Square. There is a statue of Anton Philips in front of the central railway station. Eindhoven is also, to some degree, open to forms of impromptu and alternative art. For example, the Berenkuil is a freezone for graffiti artists in the city. Light art Strijp-S is a place for experimentation with LED lighting, which keeps the historic connection with Philips' past. Some light art includes the project Fakkel by Har Hollands. In the underground passage to NatLab artist Daan Roosegaarde installed his project Crystal. Strijp-S is a regular location for the light festival GLOW. Music and theatre The Effenaar is a popular music venue and cultural center in Eindhoven, and is located at the Dommelstraat. In 1992, the Muziekcentrum Frits Philips was opened as a stage for classical and popular music in Eindhoven, reviewed by critics as a concert hall with acoustics that rival the best halls in Europe. Before that, Philips sponsored the POC. Parktheater Eindhoven is Eindhoven's stage for opera, cabaret, ballet etc. Opened in 1964, it has received over 250,000 visitors every year. With its 1,000 m2 it has one of the largest stages in the Netherlands. With a major renovation ending in 2007, the new Parktheater will receive an estimated 300,000 visitors a year. Eindhoven's Plaza Futura is now a cinema featuring cultural movies, lectures and special cultural events. Especially for students, Studium Generale Eindhoven organizes "socially, culturally and intellectually formative events". From within the student body, two Tunas provide entertainment from time to time at university and city events: Tuna Ciudad de Luz (Tuna of the City of Light) and the ladies tuna La Tuniña. The general music and theatre scene in Eindhoven (in the broadest sense) is supported by a foundation called PopEi. The purpose of this foundation is to support artistic groups with facilities, especially rehearsal stages and areas (housed in the old Philips location of Strijp-S) but also storage facilities. PopEi also provides a working environment for groups (through cafeteria facilities in Strijp-S, so groups can have real working days) and provides some logistical support for organizing events. Recreation Eindhoven has a lively recreational scene. For going out, there are numerous bars on the Market square, Stratumseind (Stratum's End) which is the largest pub-street in the Netherlands, Dommelstraat, Wilhelmina square and throughout the rest of the city. In addition to the more culturally oriented Plaza Futura, there are three cinemas in the centre of town ("Servicebioscoop Zien", "Vue" and Pathé Eindhoven, which offers THX sound, IMAX screens and 3D movie viewing). Eindhoven also hosts a large number of cultural and entertainment-oriented festivals. The biggest festivals in Eindhoven are: ABlive, popfestival (September) Carnaval, (February) Koningsdag, National Day (27 April) Muziek op de Dommel, classical music festival (June) EDIT, festival (June) Fiesta del Sol, street- and music acts (June) UCI ProTour – Eindhoven Team Time Trial, international cycling tour (June) Virus Festival, alternative music festival (last edition in 2007, inactive at the moment) Dynamo Metal Fest (July) Park Hilaria, fun fair (August) Folkwoods, folk festival (August) Reggae Sundance, reggae festival (August) Lichtjesroute, 15-mile-tour of light ornaments, commemorating the liberation of Eindhoven (from 18 September) Eindhoven Marathon, (October) Dutch Design Week, international school festival (October) GLOW Festival Eindhoven TROMP international music competition & Festival, international classical music competition & festival (15–23 November 2008: String quartet, Nov 2010: Percussion) STRP Festival, art & technology festival (23–25 November 2007) Parks Eindhoven contains several parks and a lot of open, green space. Of the five largest cities in the Netherlands, it has the highest percentage of green area (encompassing about ⅓ of all public space). It is also the greenest of the five largest cities in North Brabant. The green area per house is about . Some of the major parks in Eindhoven are the Stadswandelpark, Genneper Parken, the Philips van Lenneppark, Philips de Jongh Wandelpark and the Henri Dunantpark. There is also a green area surrounding the Karpendonkse Plas (a water area). The combination of park area, water and general atmosphere got the Ooievaarsnest neighborhood elected the "Best large-city neighborhood of the Netherlands" by the NRC Handelsblad in 1997. Sport The premier sporting club of the city is PSV Eindhoven, the professional football club playing in the Eredivisie. Their home base is the Philips Stadion. PSV won the 1988 European Cup as well as 24 Dutch championships. FC Eindhoven is another football club based in Eindhoven, currently playing in the Eerste Divisie. HC Oranje-Rood is the biggest field hockey club in Eindhoven and in fact one of the biggest clubs in the Netherlands. It is a combination of former clubs Oranje Zwart and EMHC. Oranje Zwart's men's team was the reigning Dutch champion for the past 3 years (14/15/16). They also won the EHL in 2015. Eindhoven Kemphanen is the major ice hockey club in the city. They play in IJssportcentrum Eindhoven and compete in the North Sea Cup. Eindhoven High Techs are the minor league affiliate of the Eindhoven Kemphanen and play in the Eerste Divisie. Swimming pool complex De Tongelreep houses various pools for recreation, training and sports research supported by the Eindhoven University of Technology and several top sporting institutions. Its "Pieter van den Hoogenband Swimming Stadium" hosted the 2008 European Championships Swimming, Diving and Synchronised Swimming, the 2010 IPC Swimming World Championships, the 2010 European Short Course Swimming Championships, the 2012 European Championships Waterpolo, Diving and Synchronised Swimming, the 2013 FINA Swimming World Cup, the 2014 IPC European Swimming Championships, the 2017 FINA Swimming World Cup and the 2018 FINA Swimming World Cup. Eindhoven houses Europe's largest indoor skateboard park Area 51 (skatepark) and is home of a lively skateboard culture. Eindhoven has two boxing clubs, The Golden Gloves and Muscle Fit. Eindhoven hosted the 1999 World Table Tennis Championships. Eindhoven Shamrocks Gaelic Football Club are an amateur sports team. The club was founded in 2013 and is based at Oude Bosschebaan 32, 5624 AA in Eindhoven. The club is affiliated to the European County Board of the Gaelic Athletic Association. The Shamrocks have won the Benelux Shield Competition in 2017. Eindhoven has a baseball club called PSV, which plays at the stadium which co-hosted the 2005 IBAF Baseball World Cup. Eindhoven has an American Football team, , which plays at the 1st division in the Dutch American Football League Strijp-S is a magnet for urban sports like skateboarding, BMX and bouldering as well as bootcamp classes. Eindhoven has two Rugby union Clubs a student rugby club associated with the Eindhoven University of Technology and formerly known as RCE/PSV Adult-orientated entertainment The centre of town features two casinos (one branch of Holland Casino and the independent Casino4Events). At the A67 a Jack's casino is located. There is a red light district on the Baekelandplein, as well as four brothels throughout the city. There is also a blue movie theater. Strijp-S The old Philips factory complex has been transformed into a multi-purpose cultural and residential complex called Strijp-S. This includes conference and event space, space for concerts and events, art of lighting, space for sports such as BMX, bouldering, and more, a walking promenade, etc. Media Eindhoven features several print media. The local newspaper, called the Eindhovens Dagblad, is a daily newspaper with over 110,000 subscribers in the Samenwerkingsverband Regio Eindhoven region. It has a national and international section, as well as a section dedicated to regional news; the editorial department is located in Eindhoven. In addition to the newspaper, Eindhoven is served by a number of weekly door-to-door publications. Chief among these is Groot Eindhoven (which carries publications of the city council, as well as other articles and advertisements). Other than that there are de Trompetter, dé Weekendkrant and the ZondagsNieuws. The first two are delivered midweek, the last two are weekend publications. There are several regional and municipal radio stations. The local radio station is Studio040, whereas Omroep Brabant and RoyaalFM provide regional radio. Local television is provided by Studio040. Omroep Brabant broadcasts regionally from its television studio in Son. Internet, television and telephone connectivity is available via cable television, optic fiber and ADSL. Transport Air traffic Eindhoven Airport is the closest airport, located approximately from the town centre. The airport serves as a military air base and a civilian commercial airport. Eindhoven Airport is the second-busiest in the Netherlands (after Schiphol). Ryanair serves London Stansted Airport, Dublin, Kyiv, Rome, Milan, Pisa, Bordeaux, Marseille, Glasgow, Madrid, Valencia, Stockholm, Kaunas, Malta, Sofia and Barcelona. Wizz air serves Belgrade, Brno, Bucharest-Baneasa, Budapest, Cluj-Napoca, Debrecen, Gdańsk, Katowice, Prague, Riga, Sofia, Timișoara, Vilnius, Wrocław. In the summer season, Reykjavík is served with 2 weekly flights operated by Iceland Express. Transavia services Alicante, Antalya, Athens, Bodrum, Corfu, Dalaman, Faro, Gran Canaria, Innsbruck, Málaga, Majorca, Munich, Prague, Rhodes and Salzburg, though some destinations are served only seasonally. Eindhoven Airport served more than 6.2 million passengers in 2018. Rail traffic Eindhoven is a rail transport hub. Eindhoven Centraal railway station is the main station in Eindhoven. It has connections in the directions of: Tilburg – Breda – Rotterdam – Delft – The Hague 's-Hertogenbosch – Utrecht – Amsterdam – Alkmaar/Enkhuizen 's-Hertogenbosch – Utrecht – Amsterdam Zuid – Schiphol Airport Helmond – Venlo-(international connections into Germany) Weert – Roermond – Sittard – Maastricht/Heerlen Eindhoven Centraal is served by both intercity and local services while the smaller station, Eindhoven Strijp-S is only served by local trains. Towards 's-Hertogenbosch, Utrecht and Amsterdam trains run every ten minutes, on every day of the week. Eindhoven Stadion is a small station that serves Philips Stadion in the event of football matches or other special events at the stadium. It is located 900m west of the main station. Up until World War II, a train service connected Amsterdam to Liège via Eindhoven and Valkenswaard, but the service was discontinued and the line broken up. Recently, talks have resumed to have a service to Neerpelt, Belgium via Weert. Roads and highways The A2/E25 motorway from Amsterdam to Luxembourg passes Eindhoven to the west and south of the city. The A2 connects to the highway A58 to Tilburg and Breda just north of the city. Just south of Eindhoven, the A2 connects to the A67 / E34 between Antwerp and Duisburg. In 2006, the A50 was completed connecting Eindhoven to Nijmegen and Zwolle. Local public transit The public transport of Eindhoven consists of more than 20 city bus lines, which also serve neighbouring villages such as Veldhoven, Geldrop and Nuenen. Nine of these buslines (400–408) are marketed as high quality public transport and run with 43 electric articulated busses. Two specially built separated busways (HOV1 & HOV2) are used by lines 400 to 408. Line 401 to the airport runs almost completely on separated busways. Apart from the city lines there are some 30 regional and rush-hour lines. Bicycle infrastructure Like all large Dutch cities, Eindhoven has an extensive network of bicycle paths. Since 2012, the Eindhoven bicycle path network has incorporated the Hovenring. Medical care Eindhoven has two hospitals in three locations: the Catharina Hospital and the Máxima Medisch Centrum, which has a branch in Woensel-Zuid (the old Diaconessenhuis) and one in Veldhoven (the old Sint Joseph Hospital). These three have an extensive cooperation and have divided specialties among each other. Emergency medicine, for example, is concentrated in the MMC Veldhoven branch and the Catharina Hospital, the MMC Eindhoven branch has no emergency department. Cardiac procedures are done in the Catharina. Catharina is also an academic and research hospital and participates in a shared research program with Philips Medical, the Eindhoven University of Technology and the Maastricht University into biomedical science, technology and engineering. Notable residents Kees Bol (1916–2009), painter and art educator Jan de Bont (born 1943), film director Hugo Brandt Corstius (born 1935–2014), writer Rene Daniels (born 1950), painter Lonneke Engel (born 1981), fashion model Jalila Essaïdi (born 1980), artist and entrepreneur Jan van Hooff (1755–1816), statesman Nicole van den Hurk (1980–95), homicide victim Ton de Leeuw, (born 1941), organizational theorist Theo Maassen (born 1966), comedian and actor Tom van den Nieuwenhuijzen (born 1982), politician Frits Philips (1905–2005), businessman, son of Anton Philips Gerard Philips (1858–1942) and Anton Philips (1874–1951), founders of the Philips brand name Bas Rutten (born 1965), MMA sportsman, color commentator, actor Music Brooks (born 1995), DJ and record producer Patrick van Deurzen (born 1964), composer Sander van Doorn (born 1979), Techno/Trance music DJ and producer Peter Koelewijn (born 1940), musician and record producer Lenny Kuhr (born 1950), singer-songwriter Party In Backyard, YouTuber and record producer Piet Souer (born 1945), record producer Sport Peter Aerts (born 1970), kickboxer Christijan Albers (born 1979), Formula One racing driver Imke Bartels (born 1977), equestrian Tineke Bartels (born 1951), equestrian Arthur Borren (born 1949), field hockey player Jan Borren (born 1947), field hockey player and coach Phillip Cocu (born 1970), football player Cody Gakpo (born 1999), football player Paul Haarhuis (born 1966), tennis player François van Kruijsdijk (born 1952), medley swimmer Patrick Lodewijks (born 1967), football goalkeeper Rob Reckers (born 1981), (field) hockey player Rik Smits (born 1966), basketball player Margje Teeuwen (born 1974), field hockey midfielder Rick VandenHurk (born 1985), baseball player Tisha Volleman (born 1999), artistic gymnast Cor Vriend (born 1949), long-distance runner, currently manager for long-distance runner Remmert Wielinga (born 1978), professional road bicycle racer Robert de Wit (born 1962), decathlete and bobsledder Klaas-Erik Zwering (born 1981), swimmer Twin towns – sister cities Eindhoven is twinned with: Bayeux, France Białystok, Poland Chinandega, Nicaragua Kadoma, Japan Minsk, Belarus Nanjing, China See also List of cities in the Netherlands by province#North Brabant Jewish Eindhoven BrabantStad References Bibliography External links Official website Cities in the Netherlands Municipalities of North Brabant Populated places in North Brabant
9429
https://en.wikipedia.org/wiki/Young%20and%20Innocent
Young and Innocent
Young and Innocent, released in the US as The Girl Was Young, is a 1937 British crime thriller film directed by Alfred Hitchcock and starring Nova Pilbeam and Derrick De Marney. Based on the 1936 novel A Shilling for Candles by Josephine Tey, the film is about a young man on the run from a murder charge who enlists the help of a woman who must put herself at risk for his cause. It is notable for an elaborately staged crane shot Hitchcock devised towards the end of the film, which identifies the real murderer. Plot On a stormy night, at a retreat on the English coast, Christine Clay (Pamela Carme), a successful actress, argues passionately with her jealous ex-husband Guy (George Curzon). Not accepting her Reno divorce as valid, he accuses her of having an affair. Finally, she slaps him and he leaves the room. While they had been arguing, his eyes twitched violently; they continue to do so when, once outside, he turns angrily to look at the closed door behind him. The next morning, Robert Tisdall (Derrick De Marney) happens to be walking along the seaside when Christine's dead body washes ashore. He recognizes her, and runs for help. Two young women arrive just in time to see him racing away from the corpse. The police quickly decide that Tisdall is the only suspect. Christine was strangled with the belt from a raincoat; his raincoat is missing and he says it was recently stolen. He admits knowing the victim for three years since he sold her a story but the authorities assume the two have been having an affair. When they learn that she has left him money in her will (unbeknownst to him), they feel they have hit upon a motive and Tisdall is arrested. Scotland Yard detectives grill him all night. The next morning, he faints and is revived with the aid of Erica Burgoyne (Nova Pilbeam), daughter of the local police Chief Constable. Tisdall is assigned an incompetent solicitor, and is taken into court for his formal arraignment. Doubting if his innocence will ever be established, he takes advantage of overcrowding in the courthouse to escape, wearing the solicitor's eyeglasses as a disguise. He gets away by riding on the running board of Erica's Morris car, revealing himself to her after the car runs out of petrol. He helps push the car to a filling station, pays for petrol, and convinces her to give him a ride. Though she is initially fearful and unsure about her passenger, Erica eventually becomes convinced of his innocence and decides to help him in any way that she can. They are eventually spotted together, forcing both to stay on the run from the police. Tisdall tries to prove his innocence by tracking down the stolen coat: if it still has its belt, the one found next to Christine's body must not be his. The duo succeed in tracing Tisdall's coat to Old Will (Edward Rigby), a homeless, but sociable, china-mender. But Will was not the thief; he was given the coat by a man with "twitchy eyes", and with its belt already missing. After becoming separated from the others, Erica is taken in by the police. Upon realizing that his daughter has fully allied herself with a murder suspect, her father chooses to resign his position as Chief Constable rather than arrest her for assisting a felon. Though mutually undeclared, by this point she and Tisdall are in love, Tisdall sneaks into their house to see her, intending to surrender and assert he kidnapped her, to save her honour and her father's reputation. But she mentions that the coat had a box of matches from the Grand Hotel in a pocket. As Tisdall has never been there, he surmises perhaps the murderer has a connection to the hotel. The following evening, Erica and Will go to the hotel together, hoping to find him. In a memorably long, continuous sequence, the camera pans right from their entrance to the hotel and then moves forward from the very back of the hotel ballroom, finally focusing in extreme closeup on the drummer in a dance band performing in blackface. His eyes are twitching. He is Guy, the murderer. Recognizing Old Will in the audience, and seeing policemen nearby (who have actually followed Will hoping he'll lead them to Tisdall), Guy performs poorly due to fear. He is berated by the conductor and, during a break, takes medicine to try to control the twitching, but it makes him very sleepy. Eventually, in mid-performance, Guy passes out, drawing the attention of Erica and the police. Immediately after being revived and confronted, he confesses his crime and begins laughing hysterically. Reunited once again with Tisdall, Erica then tells her father that she thinks it is time they invited him to their home for dinner. Main cast Nova Pilbeam as Erica Burgoyne Derrick De Marney as Robert Tisdall Percy Marmont as Colonel Burgoyne Edward Rigby as Old Will Mary Clare as Erica's aunt Margaret John Longden as Inspector Kent George Curzon as Guy Basil Radford as Erica's uncle Basil Pamela Carme as Christine Clay George Merritt as Detective Sergeant Miller J. H. Roberts as the Solicitor, Henry Briggs Jerry Verno as Lorry Driver H. F. Maltby as Police Sergeant John Miller as Police Constable Syd Crossley as Policeman Torin Thatcher as the owner of Nobby's Lodging House Anna Konstam as Bathing Girl Bill Shine as Manager of Tom's Hat Cafe Beatrice Varley as Accused Man's Wife Peter Thompson as Erica Burgoyne's bespectacled brother Reception Variety called the film a "Pleasing, artless vehicle" for Nova Pilbeam who was "charming" in her role and concluded, "If the pic is not Hitchcock's best effort, it is by no means unworthy of him." Frank Nugent of The New York Times called it a "crisply paced, excellently performed film." The Monthly Film Bulletin wrote, "Innumerable small touches show Hitchcock's keen and penetrating observation and his knowledge of human nature. Comedy, romance, and thrills are skilfully blended." Harrison's Reports wrote, "Good melodramatic entertainment. Because of the novelty of the story, the interesting plot developments, and the expert direction by Alfred Hitchcock, one's attention is held from the beginning to the end." John Mosher of The New Yorker wrote that it was "rather exasperating and disappointing to me. It begins with a smart murder, but wanders off through the English rural landscape in a fashion so lacking in that sound common sense we like in our mysteries, or like to feel is there anyhow, that one's interest fades away." Aggregator Rotten Tomatoes reports 100% approval of Young and Innocent, with an average rating of 7.6/10. Changes from the novel Significant changes were made in adapting the book for the film. The novel is a whodunit centred on the Scotland Yard inspector, who is Tey's regular character Alan Grant. The storyline involving Robert Tisdall, Erica Burgoyne, and the missing coat is similar to the film story, but in the novel it is only a subplot and ends part way through the book when Erica finds the coat and it is intact. Grant then focuses on other suspects, none of whom (including the actual murderer in the novel) appear in the film. Christine Clay in the novel is not divorced, but is in an unconventional marriage to an aristocrat. Hitchcock's cameo Alfred Hitchcock's cameo is a signature occurrence in most of his films. He can be seen outside the courthouse, holding a camera, at 14 minutes into the film. Copyright and home video status Young and Innocent, like all of Hitchcock's British films, is copyrighted worldwide but has been heavily bootlegged on home video. Despite this, various licensed releases have appeared on Blu-ray, DVD and video on demand services worldwide from the likes of Network Distributing in the UK, MGM and The Criterion Collection in the US, and others. References Citations Bibliography External links Alfred Hitchcock Collectors’ Guide: Young and Innocent at Brenton Film 1937 films British black-and-white films British films English-language films Films based on British novels Films based on crime novels Films directed by Alfred Hitchcock 1930s crime thriller films Films shot at Pinewood Studios Films scored by Jack Beaver British crime thriller films
9457
https://en.wikipedia.org/wiki/Election
Election
An election is a formal group decision-making process by which a population chooses an individual or multiple individuals to hold public office. Elections have been the usual mechanism by which modern representative democracy has operated since the 17th century. Elections may fill offices in the legislature, sometimes in the executive and judiciary, and for regional and local government. This process is also used in many other private and business organisations, from clubs to voluntary associations and corporations. The universal use of elections as a tool for selecting representatives in modern representative democracies is in contrast with the practice in the democratic archetype, ancient Athens, where the Elections were considered an oligarchic institution and most political offices were filled using sortition, also known as allotment, by which officeholders were chosen by lot. Electoral reform describes the process of introducing fair electoral systems where they are not in place, or improving the fairness or effectiveness of existing systems. Psephology is the study of results and other statistics relating to elections (especially with a view to predicting future results). Election is the fact of electing, or being elected. To elect means "to select or make a decision", and so sometimes other forms of ballot such as referendums are referred to as elections, especially in the United States. History Elections were used as early in history as ancient Greece and ancient Rome, and throughout the Medieval period to select rulers such as the Holy Roman Emperor (see imperial election) and the pope (see papal election). In the Vedic period of India, the raja (kings) of a gaṇa (a tribal organization) was elected by the gana. The raja always belonged to the Kshatriya varna (warrior class), and was typically a son of the previous raja. However, the gana members had the final say in his elections. Even during the Sangam Period people elected their representatives by casting their votes and the ballot boxes (usually a pot) were tied by rope and sealed. After the election the votes were taken out and counted. The Pala King Gopala (ruled c. 750s – 770s CE) in early medieval Bengal was elected by a group of feudal chieftains. Such elections were quite common in contemporary societies of the region. In the Chola Empire, around 920 CE, in Uthiramerur (in present-day Tamil Nadu), palm leaves were used for selecting the village committee members. The leaves, with candidate names written on them, were put inside a mud pot. To select the committee members, a young boy was asked to take out as many leaves as the number of positions available. This was known as the Kudavolai system. The first recorded popular elections of officials to public office, by majority vote, where all citizens were eligible both to vote and to hold public office, date back to the Ephors of Sparta in 754 BC, under the mixed government of the Spartan Constitution. Athenian democratic elections, where all citizens could hold public office, were not introduced for another 247 years, until the reforms of Cleisthenes. Under the earlier Solonian Constitution (circa 574 BC), all Athenian citizens were eligible to vote in the popular assemblies, on matters of law and policy, and as jurors, but only the three highest classes of citizens could vote in elections. Nor were the lowest of the four classes of Athenian citizens (as defined by the extent of their wealth and property, rather than by birth) eligible to hold public office, through the reforms of Solon. The Spartan election of the Ephors, therefore, also predates the reforms of Solon in Athens by approximately 180 years. Questions of suffrage, especially suffrage for minority groups, have dominated the history of elections. Males, the dominant cultural group in North America and Europe, often dominated the electorate and continue to do so in many countries. Early elections in countries such as the United Kingdom and the United States were dominated by landed or ruling class males. However, by 1920 all Western European and North American democracies had universal adult male suffrage (except Switzerland) and many countries began to consider women's suffrage. Despite legally mandated universal suffrage for adult males, political barriers were sometimes erected to prevent fair access to elections (see civil rights movement). Contexts of elections Elections are held in a variety of political, organizational, and corporate settings. Many countries hold elections to select people to serve in their governments, but other types of organizations hold elections as well. For example, many corporations hold elections among shareholders to select a board of directors, and these elections may be mandated by corporate law. In many places, an election to the government is usually a competition among people who have already won a primary election within a political party. Elections within corporations and other organizations often use procedures and rules that are similar to those of governmental elections. Electorate Suffrage The question of who may vote is a central issue in elections. The electorate does not generally include the entire population; for example, many countries prohibit those who are under the age of majority from voting, all jurisdictions require a minimum age for voting. In Australia, Aboriginal people were not given the right to vote until 1962 (see 1967 referendum entry) and in 2010 the federal government removed the rights of prisoners serving for 3 years or more to vote (a large proportion of which were Aboriginal Australians). Suffrage is typically only for citizens of the country, though further limits may be imposed. However, in the European Union, one can vote in municipal elections if one lives in the municipality and is an EU citizen; the nationality of the country of residence is not required. In some countries, voting is required by law; if an eligible voter does not cast a vote, he or she may be subject to punitive measures such as a fine. In Western Australia, the penalty for a first time offender failing to vote is a $20.00 fine, which increases to $50.00 if the offender refused to vote prior. Voting population Historically the size of eligible voters, the electorate, was small having the size of groups or communities of privileged men like aristocrats and men of a city (citizens). With the growth of the number of people with bourgeois citizen rights outside of cities, expanding the term citizen, the electorates grew to numbers beyond the thousands. Elections with an electorate in the hundred thousands appeared in the final decades of the Roman Republic, by extending voting rights to citizens outside of Rome with the Lex Julia of 90 BC, reaching an electorate of 910,000 and estimated voter turnout of maximum 10% in 70 BC, only again comparable in size to the first elections of the United States. At the same time the Kingdom of Great Britain had in 1780 about 214,000 eligible voters, 3% of the whole population. Candidates A representative democracy requires a procedure to govern nomination for political office. In many cases, nomination for office is mediated through preselection processes in organized political parties. Non-partisan systems tend to be different from partisan systems as concerns nominations. In a direct democracy, one type of non-partisan democracy, any eligible person can be nominated. Although elections were used in ancient Athens, in Rome, and in the selection of popes and Holy Roman emperors, the origins of elections in the contemporary world lie in the gradual emergence of representative government in Europe and North America beginning in the 17th century. In some systems no nominations take place at all, with voters free to choose any person at the time of voting—with some possible exceptions such as through a minimum age requirement—in the jurisdiction. In such cases, it is not required (or even possible) that the members of the electorate be familiar with all of the eligible persons, though such systems may involve indirect elections at larger geographic levels to ensure that some first-hand familiarity among potential electees can exist at these levels (i.e., among the elected delegates). As far as partisan systems, in some countries, only members of a particular party can be nominated (see one-party state). Or, any eligible person can be nominated through a process; thus allowing him or her to be listed. Electoral systems Electoral systems are the detailed constitutional arrangements and voting systems that convert the vote into a political decision. The first step is to tally the votes, for which various vote counting systems and ballot types are used. Voting systems then determine the result on the basis of the tally. Most systems can be categorized as either proportional, majoritarian or mixed. Among the proportional systems, the most commonly used are party-list proportional representation (list PR) systems, among majoritarian are First Past the Post electoral system (plurality, also known as relative majority) and absolute majority. Mixed systems combine elements of both proportional and majoritarian methods, with some typically producing results closer to the former (mixed-member proportional) or the other (e.g. parallel voting). Many countries have growing electoral reform movements, which advocate systems such as approval voting, single transferable vote, instant runoff voting or a Condorcet method; these methods are also gaining popularity for lesser elections in some countries where more important elections still use more traditional counting methods. While openness and accountability are usually considered cornerstones of a democratic system, the act of casting a vote and the content of a voter's ballot are usually an important exception. The secret ballot is a relatively modern development, but it is now considered crucial in most free and fair elections, as it limits the effectiveness of intimidation. Campaigns When elections are called, politicians and their supporters attempt to influence policy by competing directly for the votes of constituents in what are called campaigns. Supporters for a campaign can be either formally organized or loosely affiliated, and frequently utilize campaign advertising. It is common for political scientists to attempt to predict elections via political forecasting methods. The most expensive election campaign included US$7 billion spent on the 2012 United States presidential election and is followed by the US$5 billion spent on the 2014 Indian general election. Election timing The nature of democracy is that elected officials are accountable to the people, and they must return to the voters at prescribed intervals to seek their mandate to continue in office. For that reason most democratic constitutions provide that elections are held at fixed regular intervals. In the United States, elections for public offices are typically held between every two and six years in most states and at the federal level, with exceptions for elected judicial positions that may have longer terms of office. There is a variety of schedules, for example presidents: the President of Ireland is elected every seven years, the President of Russia and the President of Finland every six years, the President of France every five years, President of the United States every four years. Pre-decided or fixed election dates have the advantage of fairness and predictability. However, they tend to greatly lengthen campaigns, and make dissolving the legislature (parliamentary system) more problematic if the date should happen to fall at time when dissolution is inconvenient (e.g. when war breaks out). Other states (e.g., the United Kingdom) only set maximum time in office, and the executive decides exactly when within that limit it will actually go to the polls. In practice, this means the government remains in power for close to its full term, and choose an election date it calculates to be in its best interests (unless something special happens, such as a motion of no-confidence). This calculation depends on a number of variables, such as its performance in opinion polls and the size of its majority. Non-democratic elections In many of the countries with weak rule of law, the most common reason why elections do not meet international standards of being "free and fair" is interference from the incumbent government. Dictators may use the powers of the executive (police, martial law, censorship, physical implementation of the election mechanism, etc.) to remain in power despite popular opinion in favour of removal. Members of a particular faction in a legislature may use the power of the majority or supermajority (passing criminal laws, defining the electoral mechanisms including eligibility and district boundaries) to prevent the balance of power in the body from shifting to a rival faction due to an election. Non-governmental entities can also interfere with elections, through physical force, verbal intimidation, or fraud, which can result in improper casting or counting of votes. Monitoring for and minimizing electoral fraud is also an ongoing task in countries with strong traditions of free and fair elections. Problems that prevent an election from being "free and fair" take various forms. Lack of open political debate or an informed electorate The electorate may be poorly informed about issues or candidates due to lack of freedom of the press, lack of objectivity in the press due to state or corporate control, and/or lack of access to news and political media. Freedom of speech may be curtailed by the state, favouring certain viewpoints or state propaganda. Unfair rules Gerrymandering, exclusion of opposition candidates from eligibility for office, needlessly high restrictions on who may be a candidate, like ballot access rules, and manipulating thresholds for electoral success are some of the ways the structure of an election can be changed to favour a specific faction or candidate. Interference with campaigns Those in power may arrest or assassinate candidates, suppress or even criminalize campaigning, close campaign headquarters, harass or beat campaign workers, or intimidate voters with violence. Foreign electoral intervention can also occur, with the United States interfering between 1946 and 2000 in 81 elections and Russia/USSR in 36. In 2018 the most intense interventions, by means of false information, were by China in Taiwan and by Russia in Latvia; the next highest levels were in Bahrain, Qatar and Hungary. Tampering with the election mechanism This can include falsifying voter instructions, violation of the secret ballot, ballot stuffing, tampering with voting machines, destruction of legitimately cast ballots, voter suppression, voter registration fraud, failure to validate voter residency, fraudulent tabulation of results, and use of physical force or verbal intimation at polling places. Other examples include persuading candidates not to run, such as through blackmailing, bribery, intimidation or physical violence. Sham election A sham election, or show election, is an election that is held purely for show; that is, without any significant political choice or real impact on results of election. Sham elections are a common event in dictatorial regimes that feel the need to feign the appearance of public legitimacy. Published results usually show nearly 100% voter turnout and high support (typically at least 80%, and close to 100% in many cases) for the prescribed or for the referendum choice that favours the political party in power. Dictatorial regimes can also organize sham elections with results simulating those that might be achieved in democratic countries. Sometimes, only one government approved candidate is allowed to run in sham elections with no opposition candidates allowed, or opposition candidates are arrested on false charges (or even without any charges) before the election to prevent them from running. Ballots may contain only one "yes" option, or in the case of a simple "yes or no" question, security forces often persecute people who pick "no", thus encouraging them to pick the "yes" option. In other cases, those who vote receive stamps in their passport for doing so, while those who did not vote (and thus do not receive stamps) are persecuted as enemies of the people. In some cases, sham elections can backfire against the party in power, especially if the regime believes they are popular enough to win without coercion or fraud. The most famous example of this was the 1990 Myanmar general election, in which the government-sponsored National Unity Party suffered a landslide defeat to the opposition National League for Democracy and consequently the results were annulled. Examples of sham elections are the 1929 and 1934 elections in Fascist Italy, the 1942 general election in Imperial Japan, those in Nazi Germany, the 1940 elections of the People's Parliaments in Estonia, Latvia and Lithuania, the 1928, 1935, 1942, 1949, 1951 and 1958 elections in Portugal, the 1991 Kazakh presidential election, those in North Korea, the 1995 and 2002 presidential referendums in Saddam Hussein's Iraq, and the 2021 Hong Kong legislative election. In Mexico, all of the presidential elections from 1929 to 1982 are considered to be sham elections, as the Institutional Revolutionary Party (PRI) and its predecessors governed the country in a de facto single-party system without serious opposition, and they won all of the presidential elections in that period with more than 70% of the vote. The first seriously competitive presidential election in modern Mexican history was that of 1988, in which for the first time the PRI candidate faced two strong opposition candidates, though the government still rigged the result. The first fair election was held in 1994, though the opposition did not win until 2000. A predetermined conclusion is always established by the regime through suppression of the opposition, coercion of voters, vote rigging, reporting a number of votes received greater than the number of voters, outright lying, or some combination of these. In an extreme example, Charles D. B. King of Liberia was reported to have won by 234,000 votes in the 1927 general election, a "majority" that was over fifteen times larger than the number of eligible voters. See also Ballot access Concession (politics) Demarchy—"democracy without elections" Electoral calendar Electoral integrity Electoral system Election law Election litter Elections by country Electronic voting Fenno's paradox Full slate Garrat Elections Gerontocracy Issue voting Landslide election Meritocracy Multi-party system Nomination rules Party system Pluralism (political philosophy) Political science Polling station Reelection Slate Stunning elections Two-party system Voter turnout Voting system References Bibliography Arrow, Kenneth J. 1963. Social Choice and Individual Values. 2nd ed. New Haven, CT: Yale University Press. Benoit, Jean-Pierre and Lewis A. Kornhauser. 1994. "Social Choice in a Representative Democracy". American Political Science Review 88.1: 185–192. Corrado Maria, Daclon. 2004. US Elections and War On Terrorism – Interview With Professor Massimo Teodori Analisi Difesa, n. 50 Farquharson, Robin. 1969. A Theory of Voting. New Haven, CT: Yale University Press. Mueller, Dennis C. 1996. Constitutional Democracy. Oxford: Oxford University Press. Owen, Bernard, 2002. "Le système électoral et son effet sur la représentation parlementaire des partis: le cas européen", LGDJ; Riker, William. 1980. Liberalism Against Populism: A Confrontation Between the Theory of Democracy and the Theory of Social Choice. Prospect Heights, IL: Waveland Press. Thompson, Dennis F. 2004. Just Elections: Creating a Fair Electoral Process in the U.S. Chicago: University of Chicago Press. Ware, Alan. 1987. Citizens, Parties and the State. Princeton: Princeton University Press. External links PARLINE database on national parliaments. Results for all parliamentary elections since 1966 "Psephos", archive of recent electoral data from 182 countries ElectionGuide.org — Worldwide Coverage of National-level Elections parties-and-elections.de: Database for all European elections since 1945 ACE Electoral Knowledge Network — electoral encyclopedia and related resources from a consortium of electoral agencies and organizations. Angus Reid Global Monitor: Election Tracker IDEA's Table of Electoral Systems Worldwide European Election Law Association (Eurela) List of Local Elected Offices in the United States Caltech/ MIT Voting Technology Project Comparative politics Politics
9459
https://en.wikipedia.org/wiki/Enniskillen
Enniskillen
Enniskillen ( , from , 'Ceithlenn's island') is the largest town in County Fermanagh, Northern Ireland. It is in the middle of the county, between the Upper and Lower sections of Lough Erne. It had a population of 13,823 at the 2011 Census. Enniskillen Castle was built in the 15th century as a stronghold of the Maguires, before coming under English control in the early 17th century. The castle and town were expanded during the Plantation of Ulster. It was the seat of local government for the former Fermanagh District Council, and is the county town of Fermanagh. Toponymy The town's name comes from the . This refers to Cethlenn, a figure in Irish mythology who may have been a goddess. Local legend has it that Cethlenn was wounded in battle by an arrow and attempted to swim across the River Erne, which surrounds the island, but she never reached the other side, so the island was named in reference to her. It has been anglicised many ways over the centuries – Iniskellen, Iniskellin, Iniskillin, Iniskillen, Inishkellen, Inishkellin, Inishkillin, Inishkillen and so on. History The town's oldest building is Enniskillen Castle, built by Hugh (Maguire) the Hospitable who died in 1428. An earthwork, the Skonce on the shore of Lough Erne, may be the remains of an earlier motte. The castle was the stronghold of the junior branch of the Maguires. The first watergate was built around 1580 by Cú Chonnacht Maguire, though subsequent lowering of the level of the lough has left it without water. The strategic position of the castle made its capture important for the English in 1593, to support their plans for the control of Ulster. The castle was besieged three times in 1594–95. The English, led by a Captain Dowdall, captured it in February 1594. Maguire then laid siege to it, and defeated a relieving force at the Battle of the Ford of the Biscuits at Drumane Bridge on the Arney River. Although the defenders were relieved, Maguire gained possession of the castle from 1595 to 1598 and it was not finally captured by the English until 1607. This was part of a wider campaign to bring the province of Ulster under English control; the final capture of Enniskillen Castle in 1607 was followed by the Plantation of Ulster, during which the lands of the native Irish were seized and handed over to planters loyal to the English Crown. The Maguires were supplanted by William Cole, originally from Devon, who was appointed by James I to build an English settlement there. Captain Cole was installed as Constable and strengthened the castle wall and built a "fair house" on the old foundation as the centre point of the county town. The first Protestant parish church was erected on the hilltop in 1627. The Royal Free School of Fermanagh was moved onto the island in 1643. The first bridges were drawbridges; permanent bridges were not installed before 1688. By 1689 the town had grown significantly. During the conflict which resulted from the ousting of King James II by his Protestant rival, William III, Enniskillen and Derry were the focus of Williamite resistance in Ireland, including the nearby Battle of Newtownbutler. Enniskillen and Derry were the two garrisons in Ulster that were not wholly loyal to James II, and it was the last town to fall before the siege of Derry. As a direct result of this conflict, Enniskillen developed not only as a market town but also as a garrison, which became home to two regiments. The current site of Fermanagh College (now part of the South West College) was the former Enniskillen Gaol. Many people were tried and hanged in the square during the times of public execution. Part of the old Gaol is still used by the college. Enniskillen Town Hall was designed by William Scott and completed in 1901. Military history Enniskillen is the site of the foundation of two British Army regiments: Royal Inniskilling Fusiliers The Inniskillings (6th Dragoons) The town's name (with the archaic spelling) continues to form part of the title to The Royal Irish Regiment (27th (Inniskilling) 83rd and 87th and Ulster Defence Regiment). Enniskillen Castle features on the cap badge of both regiments. The Troubles Enniskillen was the site of several events during The Troubles, the most notable being the Remembrance Day bombing in which 11 people were killed. Bill Clinton opened the Clinton centre in 2002 on the site of the bombing. The Provisional Irish Republican Army claimed responsibility for the attack. Alleged sexual abuse and assault In 2019, at least nine men reported to the police and the press and said in public forums that, in the 1980s and 90s, when they were children, they were repeatedly molested and raped by a paedophile ring of at least 20 men in the Enniskillen area. Investigations are continuing. Miscellaneous The Enniskillen Dragoon is a famous Irish folk song associated with the Inniskilling Dragoons Regiment. Tommy Makem wrote additional verses and renamed the song Fare Thee Well, Enniskillen. The Chieftains sing a song that mentions Enniskillen titled "North Amerikay". Jim Kerr of Simple Minds was so moved by the horror of the Enniskillen bombing in 1987 that he wrote new words to the traditional folk song "She Moved Through The Fair" and the group recorded it with the name "Belfast Child". The recording reached No. 1 in the UK Charts, Ireland and several other countries in 1989. The single was taken from the album Street Fighting Years; the single version was released on the "Ballad of the Streets" EP. The video to the song was shot in black and white and displays poignant footage of children and the destruction of the bombing. Similarly, U2 held a concert the same day as the bombing; during a performance of their song "Sunday Bloody Sunday", singer Bono passionately condemned the bombing, stating "fuck the revolution" in his mid-song speech. The footage is included in U2's rockumentary Rattle and Hum. Neil Hannon also mentions Enniskillen in his song "Sunrise". Bill Fay also mentions Enniskillen in his song In Human Hands The Guardian noted that residential areas including Cooper Crescent and Chanterhill Road - inner suburbs just North of the town centre - were the 'poshest' with much of the fine housing stock located outside of the town centre. The Irish language novel Mo Dhá Mhicí by Séamus Mac Annaidh is set in Enniskillen. Demography On Census day (27 March 2011) there were 13,823 people living in Enniskillen (5,733 households), accounting for 0.76% of the NI total and representing an increase of 1.6% on the Census 2001 population of 13,599. Of these: 19.76% were aged under 16 years and 15.59% were aged 65 and over; 51.80% of the usually resident population were female and 48.20% were male; 61.62% belong to or were brought up in the Catholic Christian faith and 33.55% belong to or were brought up in various 'Protestant and Other Christian (including Christian related)' denominations; 35.59% indicated that they had a British national identity, 33.77% had an Irish national identity and 30.35% had a Northern Irish national identity (respondents could indicate more than one national identity); 39 years was the average (median) age of the population; 13.03% had some knowledge of Irish (Gaelic) and 3.65% had some knowledge of Ulster-Scots. Climate Enniskillen has a maritime climate with a narrow range of temperatures and rainfall. The nearest official Met Office weather station for which online records are available is at Lough Navar Forest, about northwest of Enniskillen. Data has also more recently been collected from Enniskillen/St Angelo Airport, under north of the town centre, which should in time give a more accurate representation of the climate of the Enniskillen area. The absolute maximum temperature is , recorded during July 2006. In an 'average' year, the warmest day is and only 2.4 days a year should rise to or above. The respective absolute maximum for St Angelo is The absolute minimum temperature is , recorded during January 1984. In an 'average' year, the coldest night should fall to . Lough Navar is a frosty location, with some 76 air frosts recorded in a typical year. It is likely that Enniskillen town centre is significantly less frosty than this. The absolute minimum at St Angelo is , reported during the record cold month of December 2010. The warmest month on record at St Angelo was August 1995 with a mean temperature of (mean maximum , mean minimum , while the coldest month was December 2010, with a mean temperature of (mean maximum , mean minimum . Rainfall is high, averaging over 1500 mm. 212 days of the year report at least 1 mm of precipitation, ranging from 15 days during April, May and June, to 20 days in October, November, December, January and March. The Köppen climate classification subtype for this climate is "Cfb" (Marine West Coast Climate/Oceanic climate). Places of interest Ardhowen Theatre Castle Coole Cole's Monument Enniskillen Castle Mount Lourdes Grammar School Portora Royal School (Now Enniskillen Royal Grammar School) Portora Castle St. Macartin's Cathedral St. Michael's College (Enniskillen) The Clinton Centre The Regimental Museum of the Inniskilling Regiment The Round O The Marble Arch Caves Cuilcagh Mountain Global Geo-Park Monea Castle Lough Navar and the Cliffs of Magho Sports Association football The town has two association football teams called Enniskillen Rangers and Enniskillen Town United F.C. Enniskillen Rangers are the current holders of the Irish Junior Cup, defeating Hill Street 5–1 on Monday, 1 May 2017. The match was played at the National Football Stadium at Windsor Park in Belfast. They play their home games at the Ball Range. Enniskillen Rangers have several notable former players including Sandy Fulton and Jim Cleary. Enniskillen Town United F.C. currently play in the Fermanagh & Western 1st Division. Their most notable former player is Michael McGovern who currently plays for Norwich City F.C. At the moment, Enniskillen Town play their home games at The Lakeland Forum playing fields in Enniskillen. Rugby Enniskillen Rugby Football Club was founded in 1925 and plays their home games at Mullaghmeen. The club currently fields 4 senior men's teams, a senior ladies teams, a range of male and female youth teams, a vibrant mini section and a disability tag team called The Enniskillen Elks. Enniskillen XV won the Ulster Towns Cup in the 2018/19 season, defeating Ballyclare 19–0. The team currently play in Kukri Ulster Rugby Championship Division 1. The rugby club was formed on 28 August 1925, when 37 attended a meeting in Enniskillen Town Hall. The name Enniskillen Rugby Club was agreed and the club adopted the rules of Dublin University. The first match was played on 30 September 1925 against Ballyshannon in County Donegal. Gaelic football Enniskillen Gaels are a Gaelic Athletic Association club founded in 1927. They play their home games at Brewster Park, Enniskillen. International events Enniskillen was the venue of the 39th G8 summit which was held on 17 and 18 June 2013. It was held at the Lough Erne Resort, a five-star hotel and golf resort on the shore of Lough Erne. The gathering was the biggest international diplomatic gathering ever held in Northern Ireland. Among the G8 leaders who attended were British Prime Minister David Cameron, United States President Barack Obama, German Chancellor Angela Merkel, and Russian President Vladimir Putin. In the past, Enniskillen has hosted an array of international events, most notably stages of the World Waterski World Cup, annually from 2005 to 2007 at the Broadmeadow. Despite its success, Enniskillen was not chosen as a World Cup Stop for 2008. In January 2009, Enniskillen hosted the ceremonial start of Rally Ireland 2009, the first stage of the WRC FIA World Rally Championship 2009 Calendar. Enniskillen has hosted the Happy Days arts festival since 2012, which celebrates "the work and influence of Nobel Prize-winning writer Samuel Beckett" and is the "first annual, international, multi-arts festival to be held in Northern Ireland since the launch of the Ulster Bank Belfast Festival at Queen's in 1962". Notable natives and residents Arts and Media Samuel Beckett, playwright, educated at Portora Royal School Charles Duff, Irish author of books on language learning and other subjects Adrian Dunbar, actor, born and brought up in Enniskillen Nial Fulton, film and television producer, educated at Portora Royal School Neil Hannon, lead singer/composer of the pop band The Divine Comedy, educated at Portora Royal School Charles Lawson, most notable for playing Jim McDonald in Coronation Street David McCann, author of children's books Lisa McHugh, country music singer; born in Glasgow, Scotland, she moved to Enniskillen as an adult. Fearghal McKinney, journalist, former UTV broadcaster and member of the Northern Ireland Assembly Nigel McLoughlin, poet, editor of Iota poetry journal and Professor of Creativity and Poetics, University of Gloucestershire Ciarán McMenamin, television actor and author Frank Ormsby, poet David Robinson, photographer and publisher, educated at Portora Royal School William Scott, artist Mick Softley singer and songwriter for Bob Dylan and Donovan, lived in the town at the time of his death Joan Trimble, pianist and composer Oscar Wilde, satirist and playwright, educated at Portora Royal School Ron Wilson, a news anchor with Network Ten in Australia Business James Gamble, co-founder of Procter & Gamble, educated at Portora Royal School Seán Quinn, entrepreneur and formerly Ireland's richest man (originally from Derrylin) Medicine and Science Denis Burkitt, FRS, surgeon and epidemiologist Military Eric Bell, recipient of the Victoria Cross Henry Hartigan, recipient of the Victoria Cross Frederick Irwin, (Lieutenant-Colonel) (1788 – 31 March 1860) was acting Governor of Western Australia from 1847 to 1848 James McGuire, recipient of the Victoria Cross George Nurse, recipient of the Victoria Cross Politics Gordon Wilson, Irish senator and peace campaigner, who lived on Cooper Crescent Gerald Grosvenor, 6th Duke of Westminster, brought up at the family's estate at Ely Lodge Religion Edward Cooney, evangelist and early leader of the Cooneyite and Go-Preacher sects, educated at Portora Royal School Edward Kernan, a Roman Catholic bishop Henry Francis Lyte, hymn composer, most notably of "Abide With Me", educated at Portora Royal School John McElroy (1782–1877), Jesuit priest, founder of Boston College Sports Declan Burns, Irish kayaking athlete, three-time Irish Olympic representative and former World Superstars runner-up Roy Carroll, goalkeeper who plays for Dungannon Swifts F.C. and who has been capped by Northern Ireland Harry Chatton, football player, from the 1920s and 1930s, who was a dual international for both the IFA and FAI Irish international teams Jim Cleary, former Glentoran footballer and member of Northern Ireland's 1982 World Cup squad William Emerson, football player who won 11 caps for Ireland between 1919 and 1923 Gordon Ferris, Northern Irish former heavyweight boxer who was both Irish and British champion in the early 1980s Frank Hoy, professional wrestler, was born in the town Robert Kerr, Olympic 100m gold medalist in the 1908 Olympics for Canada Kyle Lafferty, striker, professional football player for Anorthosis Famagusta FC and Northern Ireland international Andrew Little, former professional football player and Northern Ireland international, educated at Portora Royal School Michael McGovern, Northern Ireland international goalkeeper, currently with Norwich City F.C. Gavin Noble, Irish international triathlete, educated at Portora Royal School Dick Rowley, football player who won six caps for Ireland between 1929 and 1931 Education There are numerous schools and colleges in and around the Enniskillen area, from primary level to secondary level, including some further education colleges such as the technical college. Primary level Enniskillen Integrated Primary school Model primary school Holy Trinity Primary School Jones Memorial Primary School Mullnaskea Primary School Secondary level Erne Integrated College Devenish College Enniskillen Royal Grammar School Mount Lourdes Enniskillen; convent girls grammar school St Michael's College; boys grammar school St Fanchea's College St Joseph's College Colleges Enniskillen Campus of the College of Agriculture, Food and Rural Enterprise (CAFRE) Enniskillen Campus South West College Transport Rail – historic Railway lines from Enniskillen railway station linked the town with Derry from 1854, Dundalk from 1861, Bundoran from 1868 and Sligo from 1882. By 1883 the Great Northern Railway (Ireland) absorbed all the lines except the Sligo, Leitrim and Northern Counties Railway, which remained independent throughout its existence. In October 1957 the Government of Northern Ireland closed the GNR line, which made it impossible for the SL&NCR continue and forced it also to close. Rail – current The nearest railway station to Enniskillen is Sligo station which is served by multiple trains to Dublin Connolly and is operated by Iarnród Éireann. The Dublin-Sligo railway line has a two-hourly service run by Iarnród Éireann Official site – Timetables, bookings and operations The connecting bus from Sligo via Manorhamilton to Enniskillen is route 66 operated by Bus Éireann. Bus Bus service to Enniskillen is provided by both Ulsterbus and Bus Éireann, from Enniskillen bus station. Number 261, 261b and X261 Goldline buses run from Belfast to Enniskillen. Bus Éireann Route 30 runs from Donegal to Dublin Airport/Dublin City via Enniskillen. Air Enniskillen has a World War II-era airport, Enniskillen/St Angelo Airport. The airport had scheduled flights in the past but now serves mainly private traffic. Road The town is on the main A4/N16 route linking Belfast and Sligo, and on the main Dublin to Ballyshannon route, the N3/A46/A509. Twinning Enniskillen was originally twinned with Brackwede – a Bielefeld suburb – where the Inniskilling Dragoon Guards were stationed in the late 1950s when the twinning was initiated; however, this suburb was incorporated into Stadt Bielefeld in 1973, the city with which Enniskillen is now officially twinned. Though the twinning arrangements are still operational, at a meeting of the Regeneration and Community Committee, in February 2018, it was agreed that the twinning arrangements would be formally terminated at the end of the Council term in June 2018. However, Fermanagh and Omagh District Council still have plans to send representatives to Brackwede for the 60th anniversary celebrations of the twinning. Therefore, the future of the twinning is now somewhat unclear. See also List of civil parishes of County Fermanagh List of localities in Northern Ireland by population References External links Enniskillen.Com BBC short on Enniskillen's forgotten streets. Towns in County Fermanagh County towns in Northern Ireland Towns with cathedrals in the United Kingdom Civil parishes of County Fermanagh Former boroughs in Northern Ireland
16660639
https://en.wikipedia.org/wiki/Monarchy%20of%20Papua%20New%20Guinea
Monarchy of Papua New Guinea
The monarchy of Papua New Guinea is a system of government in which a hereditary monarch is the sovereign and head of state of Papua New Guinea. The current monarch, since 16 September 1975, is Queen Elizabeth II. Although the person of the sovereign is equally shared with 14 other independent countries within the Commonwealth of Nations, each country's monarchy is separate and legally distinct. As a result, the current monarch is officially titled the Queen of Papua New Guinea and, in this capacity, she and other members of the Royal Family undertake public and private functions domestically and abroad as representatives of the Papua New Guinean state. However, the Queen is the only member of the Royal Family with any constitutional role. The Queen lives predominantly in the United Kingdom and, while several powers are the sovereign's alone, most of the royal governmental and ceremonial duties in Papua New Guinea are carried out by the Queen's representative, the governor-general. The responsibilities of the sovereign, and of the governor-general, under the Papua New Guinean constitution, include summoning and dismissing parliament, calling elections, and appointing governments. Further, Royal Assent or the royal sign-manual are required to enact laws, letters patent, and orders in council. But the authority for these acts stems from the country's populace, in which sovereignty is vested, and the monarch's direct participation in any of these areas of governance is limited, with most related powers entrusted for exercise by the elected and appointed parliamentarians, the ministers of the Crown drawn from amongst them, and judges. History The British protectorate of the Territory of Papua along the south coast of New Guinea and adjacent islands was proclaimed in 1884. After being fully annexed into the British Empire in 1888, the territory was placed in 1902 under the authority of the Crown in its Australian parliament and council. The northern area of New Guinea was a territory of the imperial German Crown until Australia seized the area during the First World War. After the Second World War, the Territory of Papua and New Guinea was established as a United Nations trust territory administered by Australia. Independence from Australia was granted in 1975. Road to independent monarchy Queen Elizabeth II did not become the monarch of Papua New Guinea because its people decided to retain her. Elizabeth II is their sovereign because they actually invited her to become their head of state. Papua New Guinea became independent on 16 September 1975, having been under Australian administration for the previous 60 years, but decided that it still wanted a monarch as its head of state. Papua New Guinean ministers noted the affection the people had for Elizabeth II when she last visited in 1974. They wanted a politically-neutral head of state who could provide unity and continuity, and the Government wanted to retain all the traditional knighthoods and decorations. On 15 August 1975, the Assembly of Papua New Guinea formally adopted the Constitution, invited the Queen to be head of state and asked her to accept Parliament's nomination of John Guise as Governor-General of Papua New Guinea. According to Martin Charteris, the Queen was “both tickled and touched” and that she accepted the role straight away. According to historian Robert Hardman, Papua New Guinea is "the one part of the world where The Queen is, effectively, an elected monarch". The Constitution of the Independent State of Papua New Guinea also states that the Queen had been requested by the people of Papua New Guinea, through their Constituent Assembly, to become their Queen and Head of State; and she "graciously consented" so to become. The Papua New Guinean Crown and its aspects The sovereign's role as monarch of Papua New Guinea is distinct to his or her position as monarch of any other realm, including the United Kingdom. This division is illustrated in a number of ways: The monarch, for example, holds a unique Papua New Guinean title. Further, when she and other members of the Royal Family are acting in public specifically as representatives of Papua New Guinea, they will use, where possible, Papua New Guinean symbols, including the country's national flag. The sovereign similarly only draws from Papua New Guinean coffers for support in the performance of her duties as Queen of Papua New Guinea; citizens do not pay any money to the Queen or any other member of the Royal Family, either towards personal income or to support royal residences outside of Papua New Guinea. Normally, tax dollars pay only for the costs associated with the governor-general as an instrument of the Queen's authority, including travel, security, residences, offices, ceremonies, and the like. Constitutional role Papua New Guinea shares equally the same sovereign with fourteen other monarchies (a grouping, including Papua New Guinea, known as the Commonwealth realms) in the 54-member Commonwealth of Nations. Despite sharing the same person as their respective national monarch, each of the Commonwealth realms—including Papua New Guinea—is sovereign and independent of the others. The monarchy of Papua New Guinea exists in a framework of a parliamentary representative democracy. Unlike in most other Commonwealth realms, sovereignty is constitutionally vested in the citizenry of Papua New Guinea and the preamble to the constitution states "that all power belongs to the people—acting through their duly elected representatives". The monarch has been, according to section 82 of the constitution, "requested by the people of Papua New Guinea, through their Constituent Assembly, to become [monarch] and Head of State of Papua New Guinea" and thus acts in that capacity. The document thereafter sets out the role and powers of the monarch. Only Papua New Guinean ministers of the Crown can advise the sovereign on matters of the Papua New Guinean state. The monarch is represented by the Governor-General of Papua New Guinea, who is nominated by the National Parliament of Papua New Guinea. The Crown and Government As a constitutional monarch, the Queen acts entirely on the advice of Papua New Guinean Ministers of the Crown. Most of the Queen's domestic duties are performed by the Governor-General, her representative in Papua New Guinea. There are also a few duties which must be specifically performed by, or bills that require assent by the Queen. These include: signing the appointment papers of governors-general, the confirmation of awards of honours, and approving any change in her title. It is also possible that if the governor-general decided to go against the prime minister's or the government's advice, the prime Minister could appeal directly to the monarch, or even recommend that the monarch dismiss the governor-general. No governor-general has been dismissed from office, although in 1991, Sir Vincent Serei Eri resigned from office after Prime Minister Sir Rabbie Namaliu advised the queen to dismiss him. All executive powers of Papua New Guinea rest with the sovereign. All laws in Papua New Guinea are enacted only with the granting of Royal Assent, done by the Governor-General on behalf of the sovereign. The Governor-General is also responsible for proroguing, and dissolving Parliament. The opening of a session of Parliament is accompanied by the Speech from the Throne by the Governor-General. The Crown and the Courts The Papua New Guinean monarch, on the advice of the National Executive Council, can also grant immunity from prosecution, exercise the royal prerogative of mercy, and pardon offences against the Crown, either before, during, or after a trial. The exercise of the 'Power of Mercy' to grant a pardon and the commutation of prison sentences is described in section 151 of the Constitution. Title The monarch holds a unique Papua New Guinean title, granted by the constitution—Elizabeth the Second, Queen of Papua New Guinea and of Her other Realms and Territories, Head of the Commonwealth—though, the monarch is typically styled Queen of Papua New Guinea and is addressed as such when in Papua New Guinea or performing duties on behalf of Papua New Guinea abroad. Colloquially, the Queen is referred to as "Missis Kwin" and as "Mama belong big family" in the creole language of Tok Pisin. Oath of allegiance The oath of allegiance in Papua New Guinea is: Succession The constitution provides that the Queen's heirs shall succeed her as head of state. Like some realms, Papua New Guinea defers to United Kingdom law to determine the line of succession. Succession is by absolute primogeniture governed by the provisions of the Succession to the Crown Act 2013, as well as the Act of Settlement, 1701, and the Bill of Rights, 1689. This legislation limits the succession to the natural (i.e. non-adopted), legitimate descendants of Sophia, Electress of Hanover, and stipulates that the monarch cannot be a Roman Catholic, nor married to one, and must be in communion with the Church of England upon ascending the throne. Though these constitutional laws, as they apply to Papua New Guinea, still lie within the control of the British parliament, via adopting the Statute of Westminster both the United Kingdom and Papua New Guinea agreed not to change the rules of succession without the unanimous consent of the other realms, unless explicitly leaving the shared monarchy relationship; a situation that applies identically in all the other realms, and which has been likened to a treaty amongst these countries. Cultural role The Queen's Official Birthday is a public holiday in Papua New Guinea. In Papua New Guinea, it is usually celebrated on the second Monday of June every year. Official celebrations occur at hotels in Port Moresby, and much of the day is filled with sports matches, fireworks displays, and other celebrations and events. Honours and medals are given for public service to Papua New Guineans, who are mentioned in the Queen's Birthday Honours List. The national police force of Papua New Guinea is known as "The Royal Papua New Guinea Constabulary". The Crown and Honours Within the Commonwealth realms, the monarch is deemed the fount of honour. Similarly, the monarch, as Sovereign of Papua New Guinea, confers awards and honours in Papua New Guinea in her name. Most of them are often awarded on the advice of "Her Majesty's Papua New Guinea Ministers". Papua New Guinea's own national honours and awards system, known as "The Orders of Papua New Guinea", was formally established on 23 August 2005 by authority of the Queen of Papua New Guinea, Elizabeth II. The Queen is the Sovereign and Head of the Orders of Papua New Guinea. Her vice-regal representative, the Governor-General, is the Chancellor of the Orders of Papua New Guinea and Principal Grand Companion of the Order of Logohu. The Crown and the Defence Force The Crown sits at the pinnacle of the Papua New Guinea Defence Force. It is reflected in Papua New Guinea's maritime vessels, which bear the prefix HMPNGS, i.e., Her Majesty's Papua New Guinea Ship. St Edward's Crown appears on Papua New Guinea's Defence Force rank insignia, which illustrates the monarchy as the locus of authority. Members of the royal family also act as colonels-in-chief of various regiments, reflecting the Crown's relationship with the Defence Force through participation in military ceremonies both at home and abroad. Charles, Prince of Wales is the Colonel-in-Chief of Papua New Guinea's Royal Pacific Islands Regiment. In 2012, Charles, dressed in the forest green uniform of the regiment, presented troops with new colours at the Sir John Guise Stadium in Port Moresby. The Crown and Tok Pisin In Tok Pisin, the Queen is referred to as Missis Kwin and as Mama belong big family. The Queen's eldest son, Charles is known in Tok Pisin as Nambawan Pikinini Bilong Misis Kwin (first born child of Missis Kwin). The late Prince Philip, Duke of Edinburgh was addressed as "Oldfella Pili-Pili Him Bilong Misis Kwin". In August 1984, the Prince of Wales visited Manus island and in a lavish ceremony was crowned the "10th Lapan of Manus". A feast was organised for this occasion and all the local chiefs were invited. Charles—draped with dogs' teeth necklaces—accepted the title by saying, "Wuroh, wuroh, wuroh, all man meri bilong Manus. Mi hammamas tru" (Tok Pisin: Thank you all men and women of Manus. I am truly filled with happiness). In 1996, the people of Papua New Guinea presented the Queen with a portrait, titled Missis Kwin. Painted by artist Mathias Kauage, the Queen is shown wearing a Gerua, an important ceremonial headdress traditionally worn by Chieftains in the Highlands of Papua New Guinea. A Gerua is generally made of wood that is carved and then painted in bright colours to resemble the feathers of birds of paradise, and other species. According to the artist, the portrait represents the Queen as Head of the Commonwealth. Royal visits Prince Philip, Duke of Edinburgh, visited during an extended Commonwealth tour which lasted from October 1956 until February 1957. Prince Edward and Katherine, the Duke and Duchess of Kent, visited in 1969 to open the 3rd South Pacific Games in Port Moresby. The Queen visited Papua New Guinea for the first time, along with Prince Philip and Princess Anne, in February 1974. The Queen returned in 1977 during her Silver Jubilee tour, when she toured the capital Port Moresby, Popondetta and Alotau. The Queen and the Duke visited again in October 1982. Charles, Prince of Wales, toured in 1966, while he was a student in Australia. For the independence celebrations in 1975, the Queen of Papua New Guinea was represented by the Prince of Wales. Charles visited again in 1984 to open the new parliament building in Port Moresby. Prince Andrew, Duke of York visited in 1991 to open the 9th South Pacific Games. Anne, Princess Royal visited in 2005 for the 30th anniversary of independence celebrations. Among other places, the Princess visited the Bomana War Cemetery, Anglicare Stop Aids centre at Waigani, Cheshire Homes at Hohola, and the Violence Against Women Centre. The Prince of Wales visited in 2012 on a tour on the occasion of the Queen's Diamond Jubilee. Prince Andrew, Duke of York, visited in 2015 to open the 15th Pacific Games on the Queen's behalf, and visited Port Moresby (Bomana) War Cemetery. The Princess Royal will visit the country in April 2022 to mark the Queen's Platinum Jubilee. References External links Official website Government of Papua New Guinea Politics of Papua New Guinea Papua New Guinea Heads of state of Papua New Guinea 1975 establishments in Papua New Guinea Papua New Guinea Kingdoms
9580
https://en.wikipedia.org/wiki/European%20Free%20Trade%20Association
European Free Trade Association
The European Free Trade Association (EFTA) is a regional trade organization and free trade area consisting of four European states: Iceland, Liechtenstein, Norway and Switzerland. The organization operates in parallel with the European Union (EU), and all four member states participate in the European Single Market and are part of the Schengen Area. They are not, however, party to the European Union Customs Union. EFTA was historically one of the two dominant western European trade blocs, but is now much smaller and closely associated with its historical competitor, the European Union. It was established on 3 May 1960 to serve as an alternative trade bloc for those European states that were unable or unwilling to join the then European Economic Community (EEC), the main predecessor of the EU. The Stockholm Convention (1960), to establish the EFTA, was signed on 4 January 1960 in the Swedish capital by seven countries (known as the "outer seven": Austria, Denmark, Norway, Portugal, Sweden, Switzerland and the United Kingdom). A revised Convention, the Vaduz Convention, was signed on 21 June 2001 and entered into force on 1 June 2002. Since 1995, only two founding members remain, namely Norway and Switzerland. The other five, Austria, Denmark, Portugal, Sweden and the United Kingdom, had joined the EU at some point in the intervening years. The initial Stockholm Convention was superseded by the Vaduz Convention, which aimed to provide a successful framework for continuing the expansion and liberalization of trade, both among the organization's member states and with the rest of the world. Whilst the EFTA is not a customs union and member states have full rights to enter into bilateral third-country trade arrangements, it does have a coordinated trade policy. As a result, its member states have jointly concluded free trade agreements with the EU and a number of other countries. To participate in the EU's single market, Iceland, Liechtenstein, and Norway are parties to the Agreement on a European Economic Area (EEA), with compliances regulated by the EFTA Surveillance Authority and the EFTA Court. Switzerland has a set of bilateral agreements with the EU instead. Membership History On 12 January 1960, the Treaty on the European Free Trade Association was initiated in the Golden Hall of the Stockholm City Hall. This established the progressive elimination of customs duties on industrial products, but did not affect agricultural or fisheries products. The main difference between the early EEC and the EFTA was that the latter did not operate common external customs tariffs unlike the former: each EFTA member was free to establish its individual customs duties against, or its individual free trade agreements with, non-EFTA countries. The founding members of the EFTA were: Austria, Denmark, Norway, Portugal, Sweden, Switzerland and the United Kingdom. During the 1960s, these countries were often referred to as the "Outer Seven", as opposed to the Inner Six of the then European Economic Community (EEC). Finland became an associate member in 1961 and a full member in 1986, and Iceland joined in 1970. The United Kingdom and Denmark joined the EEC in 1973 and hence ceased to be EFTA members. Portugal also left EFTA for the European Community in 1986. Liechtenstein joined the EFTA in 1991 (previously its interests had been represented by Switzerland). Austria, Sweden, and Finland joined the EU in 1995 and thus ceased to be EFTA members. Twice, in 1973 and in 1995, the Norwegian government had tried to join the EU (still the EEC, in 1973) and by doing so, leave the EFTA. However, both the times, the membership of the EU was rejected in national referenda, keeping Norway in the EFTA. Iceland applied for EU membership in 2009 due to the 2008–2011 Icelandic financial crisis, but has since dropped its bid. Current members Former members Other negotiations Between 1994 and 2011, EFTA memberships for Andorra, San Marino, Monaco, the Isle of Man, Turkey, Israel, Morocco, and other European Neighbourhood Policy partners were discussed. Andorra, Monaco, and San Marino In November 2012, after the Council of the European Union had called for an evaluation of the EU's relations with Andorra, Monaco, and San Marino, which they described as "fragmented", the European Commission published a report outlining the options for their further integration into the EU. Unlike Liechtenstein, which is a member of the EEA via the EFTA and the Schengen Agreement, relations with these three states are based on a collection of agreements covering specific issues. The report examined four alternatives to the current situation: A Sectoral Approach with separate agreements with each state covering an entire policy area. A comprehensive, multilateral Framework Association Agreement (FAA) with the three states. EEA membership, and EU membership. However, the Commission argued that the sectoral approach did not address the major issues and was still needlessly complicated, while EU membership was dismissed in the near future because "the EU institutions are currently not adapted to the accession of such small-sized countries". The remaining options, EEA membership and a FAA with the states, were found to be viable and were recommended by the commission. In response, the Council requested that negotiations with the three microstates on further integration continue, and that a report be prepared by the end of 2013 detailing the implications of the two viable alternatives and recommendations on how to proceed. As EEA membership is currently only open to EFTA or EU member states, the consent of existing EFTA member states is required for the microstates to join the EEA without becoming members of the EU. In 2011, Jonas Gahr Støre, then Foreign Minister of Norway which is an EFTA member state, said that EFTA/EEA membership for the microstates was not the appropriate mechanism for their integration into the internal market due to their different requirements from those of larger countries such as Norway, and suggested that a simplified association would be better suited for them. Espen Barth Eide, Støre's successor, responded to the commission's report in late 2012 by questioning whether the microstates have sufficient administrative capabilities to meet the obligations of EEA membership. However, he stated that Norway would be open to the possibility of EFTA membership for the microstates if they decided to submit an application, and that the country had not made a final decision on the matter. Pascal Schafhauser, the Counsellor of the Liechtenstein Mission to the EU, said that Liechtenstein, another EFTA member state, was willing to discuss EEA membership for the microstates provided their joining did not impede the functioning of the organization. However, he suggested that the option of direct membership in the EEA for the microstates, outside of both the EFTA and the EU, should be considered. On 18 November 2013, the EU Commission concluded that "the participation of the small-sized countries in the EEA is not judged to be a viable option at present due to the political and institutional reasons," and that Association Agreements were a more feasible mechanism to integrate the microstates into the internal market. Norway The Norwegian electorate had rejected treaties of accession to the EU in two referendums. At the time of the first referendum in 1972, their neighbour, Denmark joined. Since the second referendum in 1994, two other Nordic neighbours, Sweden and Finland, have joined the EU. The last two governments of Norway have not advanced the question, as they have both been coalition governments consisting of proponents and opponents of EU membership. Switzerland Since Switzerland rejected the EEA membership in a referendum in 1992, more referendums on EU membership have been initiated, the last time being in 2001. These were all rejected. Switzerland has been in a customs union with fellow EFTA member state and neighbour Liechtenstein since 1924. Iceland On 16 July 2009, the government of Iceland formally applied for EU membership, but the negotiation process was suspended in mid-2013, and in 2015 the foreign ministers wrote to withdraw its application. Faroes and Greenland (Kingdom of Denmark) Denmark was a founding member of EFTA in 1960, but its membership ended in 1973, when it joined the European Communities. Greenland was covered by Denmark's EFTA membership from 1961 and the Faroe Islands from 1968. Since then, the Faroe Islands have examined the possibility of membership of EFTA. In Greenland there has been a political debate about whether the Government of Greenland consider filing for membership of the EFTA. However, membership of the EFTA is not possible without the Kingdom of Denmark as a state becoming a member of the organization on behalf of the Faroe Islands and/or Greenland. EFTA assumes that membership is reserved for states. Special procedures for the accession of states are laid down in accordance with Article 56 of the EFTA Convention. The Kingdom of Denmark's membership of EFTA is reserved under the Kingdom of Denmark under international law. As parts of the Kingdom of Denmark, the Faroe Islands and Greenland cannot, with the current treaty basis, become independent members of the EFTA. In the event of regaining membership of EFTA for the Kingdom of Denmark it can be arranged to take effect for only the Faroe Islands and/or Greenland. EFTA membership would be geographically separated from EU membership(which is limited to Denmark). It is possible to assume that membership of the EU with effect for Denmark does not preclude membership of the EFTA with effect for the Faroe Islands and/or Greenland. This form of membership of the EFTA appears to be possible in accordance with the EFTA treaty. In mid-2005, representatives of the Faroe Islands raised the possibility of their territory joining the EFTA. According to Article 56 of the EFTA Convention, only states may become members of the EFTA. The Faroes are a constituent country of the Kingdom of Denmark, and not a sovereign state in their own right. Consequently, they considered the possibility that the "Kingdom of Denmark in respect of the Faroes" could join the EFTA, though the Danish Government has stated that this mechanism would not allow the Faroes to become a separate member of the EEA because Denmark was already a party to the EEA Agreement. The Government of Denmark officially supports membership of the EFTA with effect for the Faroe Islands. The Faroes already have an extensive bilateral free trade agreement with Iceland, known as the Hoyvík Agreement. United Kingdom The United Kingdom was a co-founder of EFTA in 1960, but ceased to be a member upon joining the European Economic Community. The country held a referendum in 2016 on withdrawing from the EU (popularly referred to as "Brexit"), resulting in a 51.9% vote in favour of withdrawing. A 2013 research paper presented to the Parliament of the United Kingdom proposed a number of alternatives to EU membership which would continue to allow it access to the EU's internal market, including continuing EEA membership as an EFTA member state, or the Swiss model of a number of bilateral treaties covering the provisions of the single market. In the first meeting since the Brexit vote, EFTA reacted by saying both that they were open to a UK return, and that Britain has many issues to work through. The president of Switzerland Johann Schneider-Ammann stated that its return would strengthen the association. However, in August 2016 the Norwegian Government expressed reservations. Norway's European affairs minister, Elisabeth Vik Aspaker, told the Aftenposten newspaper: "It’s not certain that it would be a good idea to let a big country into this organization. It would shift the balance, which is not necessarily in Norway’s interests." In late 2016, the Scottish First Minister said that her priority was to keep the whole of the UK in the European single market but that taking Scotland alone into the EEA was an option being "looked at". However, other EFTA states have stated that only sovereign states are eligible for membership, so it could only join if it became independent from the UK, unless the solution scouted for the Faroes in 2005 were to be adopted (see above). In early 2018, British MPs Antoinette Sandbach, Stephen Kinnock and Stephen Hammond all called for the UK to rejoin EFTA. Relationship with the European Union: the European Economic Area In 1992, the EU, its member states, and the EFTA member states signed the Agreement on the European Economic Area in Oporto, Portugal. However, the proposal that Switzerland ratify its participation was rejected by referendum. (Nevertheless, Switzerland has multiple bilateral treaties with the EU that allow it to participate in the European Single Market, the Schengen Agreement and other programmes). Thus, except for Switzerland, the EFTA members are also members of the European Economic Area (EEA). The EEA comprises three member states of the European Free Trade Association (EFTA) and 27 member states of the European Union (EU), including Croatia which the agreement is provisionally applied to, pending its ratification by all contracting parties. It was established on 1 January 1994 following an agreement with the European Community (which had become the EU two months earlier). It allows the EFTA-EEA states to participate in the EU's Internal Market without being members of the EU. They adopt almost all EU legislation related to the single market, except laws on agriculture and fisheries. However, they also contribute to and influence the formation of new EEA relevant policies and legislation at an early stage as part of a formal decision-shaping process. One EFTA member, Switzerland, has not joined the EEA but has a series of bilateral agreements, including a free trade agreement, with the EU. The following table summarises the various components of EU laws applied in the EFTA countries and their sovereign territories. Some territories of EU member states also have a special status in regard to EU laws applied as is the case with some European microstates. EEA institutions A Joint Committee consisting of the EEA-EFTA States plus the European Commission (representing the EU) has the function of extending relevant EU law to the non EU members. An EEA Council meets twice yearly to govern the overall relationship between the EEA members. Rather than setting up pan-EEA institutions, the activities of the EEA are regulated by the EFTA Surveillance Authority and the EFTA Court. The EFTA Surveillance Authority and the EFTA Court regulate the activities of the EFTA members in respect of their obligations in the European Economic Area (EEA). Since Switzerland is not an EEA member, it does not participate in these institutions. The EFTA Surveillance Authority performs a role for EFTA members that is equivalent to that of the European Commission for the EU, as "guardian of the treaties" and the EFTA Court performs the European Court of Justice-equivalent role. The original plan for the EEA lacked the EFTA Court or the EFTA Surveillance Authority: the European Court of Justice and the European Commission were to exercise those roles. However, during the negotiations for the EEA agreement, the European Court of Justice informed the Council of the European Union by way of letter that it considered that it would be a violation of the treaties to give to the EU institutions these powers with respect to non-EU member states. Therefore, the current arrangement was developed instead. EEA and Norway Grants The EEA and Norway Grants are the financial contributions of Iceland, Liechtenstein and Norway to reduce social and economic disparities in Europe. They were established in conjunction with the 2004 enlargement of the European Economic Area (EEA), which brought together the EU, Iceland, Liechtenstein and Norway in the Internal Market. In the period from 2004 to 2009, €1.3 billion of project funding was made available for project funding in the 15 beneficiary states in Central and Southern Europe. The EEA and Norway Grants are administered by the Financial Mechanism Office, which is affiliated to the EFTA Secretariat in Brussels. International conventions EFTA also originated the Hallmarking Convention and the Pharmaceutical Inspection Convention, both of which are open to non-EFTA states. International trade relations EFTA has several free trade agreements with non-EU countries as well as declarations on cooperation and joint workgroups to improve trade. Currently, the EFTA States have established preferential trade relations with 24 states and territories, in addition to the 27 member states of the European Union. EFTA's interactive Free Trade Map gives an overview of the partners worldwide. Free trade agreements Albania Bosnia and Herzegovina Canada (Canada-European Free Trade Association Free Trade Agreement) Central American States (Costa Rica, Guatemala, Panama) Chile Colombia Ecuador Egypt Georgia Gulf Co-operation Council (Bahrain, Kuwait, Oman, Qatar, Saudi Arabia, United Arab Emirates) Hong Kong Indonesia ( The ratification procedures are currently ongoing and the entry into force is pending) Israel Japan Jordan South Korea Lebanon Mexico Montenegro Morocco (excluding Western Sahara) North Macedonia Palestinian National Authority Peru Philippines Serbia Singapore Southern African Customs Union (Botswana, Eswatini, Lesotho, Namibia, South Africa) Tunisia Turkey Ukraine Ongoing free trade negotiations Algeria (Negotiations currently on hold) Central American States (Honduras) (Negotiations currently on hold) India Malaysia MERCOSUR (Argentina, Brazil, Paraguay Uruguay and Venezuela) (Negotiations currently on hold) Thailand (Negotiations currently on hold) Vietnam Declarations on cooperation or dialogue on closer trade relations Mauritius MERCOSUR (Argentina, Brazil, Paraguay and Uruguay) Moldova Mongolia Myanmar Pakistan Travel policies Free movement of people within EFTA and the EU/EEA EFTA member states' citizens enjoy freedom of movement in each other's territories in accordance with the EFTA convention. EFTA nationals also enjoy freedom of movement in the European Union (EU). EFTA nationals and EU citizens are not only visa-exempt but are legally entitled to enter and reside in each other's countries. The Citizens' Rights Directive (also sometimes called the "Free Movement Directive") defines the right of free movement for citizens of the European Economic Area (EEA), which includes the three EFTA members Iceland, Norway and Liechtenstein plus the member states of the EU. Switzerland, which is a member of EFTA but not of the EEA, is not bound by the Directive but rather has a separate bilateral agreement on free movement with the EU. As a result, a citizen of an EFTA country can live and work in all the other EFTA countries and in all the EU countries, and a citizen of an EU country can live and work in all the EFTA countries (but for voting and working in sensitive fields, such as government / police / military, citizenship is often required, and non-citizens may not have the same rights to welfare and unemployment benefits as citizens). General secretaries Other Portugal Fund The Portugal Fund came into operation in February 1977 when Portugal was still a member of EFTA. It was to provide funding for the development of Portugal after the Carnation Revolution and the consequential restoration of democracy and the decolonization of the country's overseas possessions. This followed a period of economic sanctions by most of the international community, which left Portugal economically underdeveloped compared to the rest of the western Europe. When Portugal left EFTA in 1985 in order to join the EEC, the remaining EFTA members decided to continue the Portugal Fund so that Portugal would continue to benefit from it. The Fund originally took the form of a low-interest loan from the EFTA member states to the value of US$100 million. Repayment was originally to commence in 1988, however, EFTA then decided to postpone the start of repayments until 1998. The Portugal Fund was dissolved in January 2002. See also Central European Free Trade Agreement Euro-Mediterranean free trade area European Union Association Agreement European Union free trade agreements Free trade areas in Europe Notes References External links Official website Collection of acts adopted by the EFTA and published in the Official Journal (the OJEU) 1960 establishments in Europe European Economic Area Free-trade areas Intergovernmental organizations established by treaty Liechtenstein–Switzerland relations Organisations based in Geneva Organizations established in 1960 Trade blocs
9581
https://en.wikipedia.org/wiki/European%20Parliament
European Parliament
The European Parliament (EP) is one of three legislative branches of the European Union and one of its seven institutions. Together with the Council of the European Union (known as the Council and informally as the Council of Ministers), it adopts European legislation, commonly on the proposal of the European Commission. The Parliament is composed of 705 members (MEPs). It represents the second-largest democratic electorate in the world (after the Parliament of India) and the largest trans-national democratic electorate in the world (375 million eligible voters in 2009). Since 1979, the Parliament has been directly elected every five years by the citizens of the European Union through universal suffrage. Voter turnout in parliamentary elections decreased each time after 1979 until 2019, when voter turnout increased by eight percentage points, and went above 50% for the first time since 1994. The voting age is 18 in all member states except for Malta and Austria, where it is 16, and Greece, where it is 17. Although the European Parliament has legislative power, as does the Council, it does not formally possess the right of initiative as most national parliaments of the member states do, right of initiative being a prerogative of the European Commission. The Parliament is the "first institution" of the European Union (mentioned first in its treaties and having ceremonial precedence over the other EU institutions), and shares equal legislative and budgetary powers with the Council (except on a few issues where the special legislative procedures apply). It likewise has equal control over the EU budget. Ultimately, the European Commission, which serves as the executive branch of the EU, is accountable to Parliament. In particular, Parliament can decide whether or not to approve the European Council's nominee for President of the Commission, and is further tasked with approving (or rejecting) the appointment of the Commission as a whole. It can subsequently force the current Commission to resign by adopting a motion of censure. The president of the European Parliament is the body's speaker, and presides over the multi-party chamber. The five largest groups being the European People's Party Group (EPP), the Progressive Alliance of Socialists and Democrats (S&D), Renew Europe (previously ALDE), the Greens/European Free Alliance (Greens–EFA) and Identity and Democracy (ID). The last EU-wide election was held in 2019. The Parliament is headquartered in Strasbourg, France, and has its administrative offices in Luxembourg City. Plenary sessions take place in Strasbourg as well as in Brussels, Belgium, while the Parliament's committee meetings are held primarily in Brussels. History The Parliament, like the other institutions, was not designed in its current form when it first met on 10 September 1952. One of the oldest common institutions, it began as the Common Assembly of the European Coal and Steel Community (ECSC). It was a consultative assembly of 78 appointed parliamentarians drawn from the national parliaments of member states, having no legislative powers. The change since its foundation was highlighted by Professor David Farrell of the University of Manchester: "For much of its life, the European Parliament could have been justly labelled a 'multi-lingual talking shop'." Its development since its foundation shows how the European Union's structures have evolved without a clear 'master plan'. Tom Reid of The Washington Post, has said of the union that "nobody would have deliberately designed a government as complex and as redundant as the EU". Even the Parliament's two seats, which have switched several times, are a result of various agreements or lack of agreements. Although most MEPs would prefer to be based just in Brussels, at John Major's 1992 Edinburgh summit, France engineered a treaty amendment to maintain Parliament's plenary seat permanently at Strasbourg. Consultative assembly The body was not mentioned in the original Schuman Declaration. It was assumed or hoped that difficulties with the British would be resolved to allow the Parliamentary Assembly of the Council of Europe to perform the task. A separate Assembly was introduced during negotiations on the Treaty as an institution which would counterbalance and monitor the executive while providing democratic legitimacy. The wording of the ECSC Treaty demonstrated the leaders' desire for more than a normal consultative assembly by using the term "representatives of the people" and allowed for direct election. Its early importance was highlighted when the Assembly was given the task of drawing up the draft treaty to establish a European Political Community. By this document, the Ad Hoc Assembly was established on 13 September 1952 with extra members, but after the failure of the negotiated and proposed European Defence Community (French parliament veto) the project was dropped. Despite this, the European Economic Community and Euratom were established in 1958 by the Treaties of Rome. The Common Assembly was shared by all three communities (which had separate executives) and it renamed itself the European Parliamentary Assembly. The first meeting was held on 19 March 1958 having been set up in Luxembourg City, it elected Schuman as its president and on 13 May it rearranged itself to sit according to political ideology rather than nationality. This is seen as the birth of the modern European Parliament, with Parliament's 50 years celebrations being held in March 2008 rather than 2002. The three communities merged their remaining organs as the European Communities in 1967, and the body's name was changed to the current "European Parliament" in 1962. In 1970 the Parliament was granted power over areas of the Communities' budget, which were expanded to the whole budget in 1975. Under the Rome Treaties, the Parliament should have become elected. However, the Council was required to agree a uniform voting system beforehand, which it failed to do. The Parliament threatened to take the Council to the European Court of Justice; this led to a compromise whereby the Council would agree to elections, but the issue of voting systems would be put off until a later date. Elected Parliament In 1979, its members were directly elected for the first time. This sets it apart from similar institutions such as those of the Parliamentary Assembly of the Council of Europe or Pan-African Parliament which are appointed. After that first election, the parliament held its first session on 17 July 1979, electing Simone Veil MEP as its president. Veil was also the first female president of the Parliament since it was formed as the Common Assembly. As an elected body, the Parliament began to draft proposals addressing the functioning of the EU. For example, in 1984, inspired by its previous work on the Political Community, it drafted the "draft Treaty establishing the European Union" (also known as the 'Spinelli Plan' after its rapporteur Altiero Spinelli MEP). Although it was not adopted, many ideas were later implemented by other treaties. Furthermore, the Parliament began holding votes on proposed Commission Presidents from the 1980s, before it was given any formal right to veto. Since it became an elected body, the membership of the European Parliament has simply expanded whenever new nations have joined (the membership was also adjusted upwards in 1994 after German reunification). Following this, the Treaty of Nice imposed a cap on the number of members to be elected: 732. Like the other institutions, the Parliament's seat was not yet fixed. The provisional arrangements placed Parliament in Strasbourg, while the Commission and Council had their seats in Brussels. In 1985 the Parliament, wishing to be closer to these institutions, built a second chamber in Brussels and moved some of its work there despite protests from some states. A final agreement was eventually reached by the European Council in 1992. It stated the Parliament would retain its formal seat in Strasbourg, where twelve sessions a year would be held, but with all other parliamentary activity in Brussels. This two-seat arrangement was contested by the Parliament, but was later enshrined in the Treaty of Amsterdam. To this day the institution's locations are a source of contention. The Parliament gained more powers from successive treaties, namely through the extension of the ordinary legislative procedure (then called the codecision procedure), and in 1999, the Parliament forced the resignation of the Santer Commission. The Parliament had refused to approve the Community budget over allegations of fraud and mis-management in the Commission. The two main parties took on a government-opposition dynamic for the first time during the crisis which ended in the Commission resigning en masse, the first of any forced resignation, in the face of an impending censure from the Parliament. Parliament pressure on the Commission In 2004, following the largest trans-national election in history, despite the European Council choosing a President from the largest political group (the EPP), the Parliament again exerted pressure on the Commission. During the Parliament's hearings of the proposed Commissioners MEPs raised doubts about some nominees with the Civil Liberties committee rejecting Rocco Buttiglione from the post of Commissioner for Justice, Freedom and Security over his views on homosexuality. That was the first time the Parliament had ever voted against an incoming Commissioner and despite Barroso's insistence upon Buttiglione the Parliament forced Buttiglione to be withdrawn. A number of other Commissioners also had to be withdrawn or reassigned before Parliament allowed the Barroso Commission to take office. Along with the extension of the ordinary legislative procedure, the Parliament's democratic mandate has given it greater control over legislation against the other institutions. In voting on the Bolkestein directive in 2006, the Parliament voted by a large majority for over 400 amendments that changed the fundamental principle of the law. The Financial Times described it in the following terms: In 2007, for the first time, Justice Commissioner Franco Frattini included Parliament in talks on the second Schengen Information System even though MEPs only needed to be consulted on parts of the package. After that experiment, Frattini indicated he would like to include Parliament in all justice and criminal matters, informally pre-empting the new powers they were due to gain in 2009 as part of the Treaty of Lisbon. Between 2007 and 2009, a special working group on parliamentary reform implemented a series of changes to modernise the institution such as more speaking time for rapporteurs, increase committee co-operation and other efficiency reforms. Recent history The Lisbon Treaty came into force on 1 December 2009, granting Parliament powers over the entire EU budget, making Parliament's legislative powers equal to the Council's in nearly all areas and linking the appointment of the Commission President to Parliament's own elections. Barroso gained the support of the European Council for a second term and secured majority support from the Parliament in September 2009. Parliament voted 382 votes in favour and 219 votes against (117 abstentions) with support of the European People's Party, European Conservatives and Reformists and the Alliance of Liberals and Democrats for Europe. The liberals gave support after Barroso gave them a number of concessions; the liberals previously joined the socialists' call for a delayed vote (the EPP had wanted to approve Barroso in July of that year). Once Barroso put forward the candidates for his next Commission, another opportunity to gain concessions arose. Bulgarian nominee Rumiana Jeleva was forced to step down by Parliament due to concerns over her experience and financial interests. She only had the support of the EPP which began to retaliate on left wing candidates before Jeleva gave in and was replaced (setting back the final vote further). Before the final vote, Parliament demanded a number of concessions as part of a future working agreement under the new Lisbon Treaty. The deal includes that Parliament's President will attend high level Commission meetings. Parliament will have a seat in the EU's Commission-led international negotiations and have a right to information on agreements. However, Parliament secured only an observer seat. Parliament also did not secure a say over the appointment of delegation heads and special representatives for foreign policy. Although they will appear before parliament after they have been appointed by the High Representative. One major internal power was that Parliament wanted a pledge from the Commission that it would put forward legislation when parliament requests. Barroso considered this an infringement on the Commission's powers but did agree to respond within three months. Most requests are already responded to positively. During the setting up of the European External Action Service (EEAS), Parliament used its control over the EU budget to influence the shape of the EEAS. MEPs had aimed at getting greater oversight over the EEAS by linking it to the Commission and having political deputies to the High Representative. MEPs didn't manage to get everything they demanded. However, they got broader financial control over the new body. In December 2017, Politico denounced the lack of racial diversity among Members of the European Parliament. The subsequent news coverage contributed to create the Brussels So White movement. In January 2019, Conservative MEPs supported proposals to boost opportunities for women and tackle sexual harassment in the European Parliament. Powers and functions The Parliament and Council have been compared to the two chambers of a bicameral legislature. However, there are some differences from national legislatures; for example, neither the Parliament nor the Council have the power of legislative initiative (except for the fact that the Council has the power in some intergovernmental matters). In Community matters, this is a power uniquely reserved for the European Commission (the executive). Therefore, while Parliament can amend and reject legislation, to make a proposal for legislation, it needs the Commission to draft a bill before anything can become law. The value of such a power has been questioned by noting that in the national legislatures of the member states 85% of initiatives introduced without executive support fail to become law. Yet it has been argued by former Parliament president Hans-Gert Pöttering that as the Parliament does have the right to ask the Commission to draft such legislation, and as the Commission is following Parliament's proposals more and more Parliament does have a de facto right of legislative initiative. The Parliament also has a great deal of indirect influence, through non-binding resolutions and committee hearings, as a "pan-European soapbox" with the ear of thousands of Brussels-based journalists. There is also an indirect effect on foreign policy; the Parliament must approve all development grants, including those overseas. For example, the support for post-war Iraq reconstruction, or incentives for the cessation of Iranian nuclear development, must be supported by the Parliament. Parliamentary support was also required for the transatlantic passenger data-sharing deal with the United States. Finally, Parliament holds a non-binding vote on new EU treaties but cannot veto it. However, when Parliament threatened to vote down the Nice Treaty, the Belgian and Italian Parliaments said they would veto the treaty on the European Parliament's behalf. Legislative procedure With each new treaty, the powers of the Parliament, in terms of its role in the Union's legislative procedures, have expanded. The procedure which has slowly become dominant is the "ordinary legislative procedure" (previously named "codecision procedure"), which provides an equal footing between Parliament and Council. In particular, under the procedure, the Commission presents a proposal to Parliament and the Council which can only become law if both agree on a text, which they do (or not) through successive readings up to a maximum of three. In its first reading, Parliament may send amendments to the Council which can either adopt the text with those amendments or send back a "common position". That position may either be approved by Parliament, or it may reject the text by an absolute majority, causing it to fail, or it may adopt further amendments, also by an absolute majority. If the Council does not approve these, then a "Conciliation Committee" is formed. The Committee is composed of the Council members plus an equal number of MEPs who seek to agree a compromise. Once a position is agreed, it has to be approved by Parliament, by a simple majority. This is also aided by Parliament's mandate as the only directly democratic institution, which has given it leeway to have greater control over legislation than other institutions, for example over its changes to the Bolkestein directive in 2006. The few other areas that operate the special legislative procedures are justice and home affairs, budget and taxation, and certain aspects of other policy areas, such as the fiscal aspects of environmental policy. In these areas, the Council or Parliament decide law alone. The procedure also depends upon which type of institutional act is being used. The strongest act is a regulation, an act or law which is directly applicable in its entirety. Then there are directives which bind member states to certain goals which they must achieve. They do this through their own laws and hence have room to manoeuvre in deciding upon them. A decision is an instrument which is focused at a particular person or group and is directly applicable. Institutions may also issue recommendations and opinions which are merely non-binding, declarations. There is a further document which does not follow normal procedures, this is a "written declaration" which is similar to an early day motion used in the Westminster system. It is a document proposed by up to five MEPs on a matter within the EU's activities used to launch a debate on that subject. Having been posted outside the entrance to the hemicycle, members can sign the declaration and if a majority do so it is forwarded to the President and announced to the plenary before being forwarded to the other institutions and formally noted in the minutes. Budget The legislative branch officially holds the Union's budgetary authority with powers gained through the Budgetary Treaties of the 1970s and the Lisbon Treaty. The EU budget is subject to a form of the ordinary legislative procedure with a single reading giving Parliament power over the entire budget (before 2009, its influence was limited to certain areas) on an equal footing to the Council. If there is a disagreement between them, it is taken to a conciliation committee as it is for legislative proposals. If the joint conciliation text is not approved, the Parliament may adopt the budget definitively. The Parliament is also responsible for discharging the implementation of previous budgets based on the annual report of the European Court of Auditors. It has refused to approve the budget only twice, in 1984 and in 1998. On the latter occasion it led to the resignation of the Santer Commission; highlighting how the budgetary power gives Parliament a great deal of power over the Commission. Parliament also makes extensive use of its budgetary, and other powers, elsewhere; for example in the setting up of the European External Action Service, Parliament has a de facto veto over its design as it has to approve the budgetary and staff changes. Control of the executive The President of the European Commission is proposed by the European Council on the basis of the European elections to Parliament. That proposal has to be approved by the Parliament (by a simple majority) who "elect" the President according to the treaties. Following the approval of the Commission President, the members of the Commission are proposed by the President in accord with the member states. Each Commissioner comes before a relevant parliamentary committee hearing covering the proposed portfolio. They are then, as a body, approved or rejected by the Parliament. In practice, the Parliament has never voted against a President or his Commission, but it did seem likely when the Barroso Commission was put forward. The resulting pressure forced the proposal to be withdrawn and changed to be more acceptable to parliament. That pressure was seen as an important sign by some of the evolving nature of the Parliament and its ability to make the Commission accountable, rather than being a rubber stamp for candidates. Furthermore, in voting on the Commission, MEPs also voted along party lines, rather than national lines, despite frequent pressure from national governments on their MEPs. This cohesion and willingness to use the Parliament's power ensured greater attention from national leaders, other institutions and the public who previously gave the lowest ever turnout for the Parliament's elections. The Parliament also has the power to censure the Commission if they have a two-thirds majority which will force the resignation of the entire Commission from office. As with approval, this power has never been used but it was threatened to the Santer Commission, who subsequently resigned of their own accord. There are a few other controls, such as: the requirement of Commission to submit reports to the Parliament and answer questions from MEPs; the requirement of the President-in-office of the Council to present its programme at the start of their presidency; the obligation on the President of the European Council to report to Parliament after each of its meetings; the right of MEPs to make requests for legislation and policy to the Commission; and the right to question members of those institutions (e.g. "Commission Question Time" every Tuesday). At present, MEPs may ask a question on any topic whatsoever, but in July 2008 MEPs voted to limit questions to those within the EU's mandate and ban offensive or personal questions. Supervisory powers The Parliament also has other powers of general supervision, mainly granted by the Maastricht Treaty. The Parliament has the power to set up a Committee of Inquiry, for example over mad cow disease or CIA detention flights the former led to the creation of the European veterinary agency. The Parliament can call other institutions to answer questions and if necessary to take them to court if they break EU law or treaties. Furthermore, it has powers over the appointment of the members of the Court of Auditors and the president and executive board of the European Central Bank. The ECB president is also obliged to present an annual report to the parliament. The European Ombudsman is elected by the Parliament, who deals with public complaints against all institutions. Petitions can also be brought forward by any EU citizen on a matter within the EU's sphere of activities. The Committee on Petitions hears cases, some 1500 each year, sometimes presented by the citizen themselves at the Parliament. While the Parliament attempts to resolve the issue as a mediator they do resort to legal proceedings if it is necessary to resolve the citizens dispute. Members The parliamentarians are known in English as Members of the European Parliament (MEPs). They are elected every five years by universal adult suffrage and sit according to political allegiance; about one third are women. Before the first direct elections, in 1979, they were appointed by their national parliaments. The Parliament has been criticized for underrepresentation of minority groups. In 2017, an estimated 17 MEPs were nonwhite, and of these, three were black, a disproportionately low number. According to activist organization European Network Against Racism, while an estimated 10% of Europe is composed of racial and ethnic minorities, only 5% of MEPs were members of such groups following the 2019 European Parliament election. Under the Lisbon Treaty, seats are allocated to each state according to population and the maximum number of members is set at 751 (however, as the President cannot vote while in the chair there will only be 750 voting members at any one time). Since 1 February 2020, 705 MEPs (including the president of the Parliament) sit in the European Parliament, the reduction in size due to the United Kingdom leaving the EU. Representation is currently limited to a maximum of 96 seats and a minimum of 6 seats per state and the seats are distributed according to "degressive proportionality", i.e., the larger the state, the more citizens are represented per MEP. As a result, Maltese and Luxembourgish voters have roughly 10x more influence per voter than citizens of the six largest countries. , Germany (80.9 million inhabitants) has 96 seats (previously 99 seats), i.e. one seat for 843,000 inhabitants. Malta (0.4 million inhabitants) has 6 seats, i.e. one seat for 70,000 inhabitants. The new system implemented under the Lisbon Treaty, including revising the seating well before elections, was intended to avoid political horse trading when the allocations have to be revised to reflect demographic changes. Pursuant to this apportionment, the constituencies are formed. In four EU member states (Belgium, Ireland, Italy and Poland), the national territory is divided into a number of constituencies. In the remaining member states, the whole country forms a single constituency. All member states hold elections to the European Parliament using various forms of proportional representation. Transitional arrangements Due to the delay in ratifying the Lisbon Treaty, the seventh parliament was elected under the lower Nice Treaty cap. A small scale treaty amendment was ratified on 29 November 2011. This amendment brought in transitional provisions to allow the 18 additional MEPs created under the Lisbon Treaty to be elected or appointed before the 2014 election. Under the Lisbon Treaty reforms, Germany was the only state to lose members from 99 to 96. However, these seats were not removed until the 2014 election. Salaries and expenses Before 2009, members received the same salary as members of their national parliament. However, from 2009 a new members statute came into force, after years of attempts, which gave all members an equal monthly pay, of €8,484.05 each in 2016, subject to a European Union tax and which can also be taxed nationally. MEPs are entitled to a pension, paid by Parliament, from the age of 63. Members are also entitled to allowances for office costs and subsistence, and travelling expenses, based on actual cost. Besides their pay, members are granted a number of privileges and immunities. To ensure their free movement to and from the Parliament, they are accorded by their own states the facilities accorded to senior officials travelling abroad and, by other state governments, the status of visiting foreign representatives. When in their own state, they have all the immunities accorded to national parliamentarians, and, in other states, they have immunity from detention and legal proceedings. However, immunity cannot be claimed when a member is found committing a criminal offence and the Parliament also has the right to strip a member of their immunity. Political groups MEPs in Parliament are organised into eight different parliamentary groups, including thirty non-attached members known as non-inscrits. The two largest groups are the European People's Party (EPP) and the Socialists & Democrats (S&D). These two groups have dominated the Parliament for much of its life, continuously holding between 50 and 70 percent of the seats between them. No single group has ever held a majority in Parliament. As a result of being broad alliances of national parties, European group parties are very decentralised and hence have more in common with parties in federal states like Germany or the United States than unitary states like the majority of the EU states. Nevertheless, the European groups were actually more cohesive than their US counterparts between 2004 and 2009. Groups are often based on a single European political party such as the European People's Party. However, they can, like the liberal group, include more than one European party as well as national parties and independents. For a group to be recognised, it needs 23 MEPs from seven different countries. Groups receive funding from the parliament. Grand coalition Given that the Parliament does not form the government in the traditional sense of a Parliamentary system, its politics have developed along more consensual lines rather than majority rule of competing parties and coalitions. Indeed, for much of its life it has been dominated by a grand coalition of the European People's Party and the Party of European Socialists. The two major parties tend to co-operate to find a compromise between their two groups leading to proposals endorsed by huge majorities. However, this does not always produce agreement, and each may instead try to build other alliances, the EPP normally with other centre-right or right wing Groups and the PES with centre-left or left wing groups. Sometimes, the Liberal Group is then in the pivotal position. There are also occasions where very sharp party political divisions have emerged, for example over the resignation of the Santer Commission. When the initial allegations against the Commission emerged, they were directed primarily against Édith Cresson and Manuel Marín, both socialist members. When the parliament was considering refusing to discharge the Community budget, President Jacques Santer stated that a no vote would be tantamount to a vote of no confidence. The Socialist group supported the Commission and saw the issue as an attempt by the EPP to discredit their party ahead of the 1999 elections. Socialist leader, Pauline Green MEP, attempted a vote of confidence and the EPP put forward counter motions. During this period the two parties took on similar roles to a government-opposition dynamic, with the Socialists supporting the executive and EPP renouncing its previous coalition support and voting it down. Politicisation such as this has been increasing, in 2007 Simon Hix of the London School of Economics noted that: During the fifth term, 1999 to 2004, there was a break in the grand coalition resulting in a centre-right coalition between the Liberal and People's parties. This was reflected in the Presidency of the Parliament with the terms being shared between the EPP and the ELDR, rather than the EPP and Socialists. In the following term the liberal group grew to hold 88 seats, the largest number of seats held by any third party in Parliament. Elections Elections have taken place, directly in every member state, every five years since 1979. there have been nine elections. When a nation joins mid-term, a by-election will be held to elect their representatives. This has happened six times, most recently when Croatia joined in 2013. Elections take place across four days according to local custom and, apart from having to be proportional, the electoral system is chosen by the member state. This includes allocation of sub-national constituencies; while most members have a national list, some, like the UK and Poland, divide their allocation between regions. Seats are allocated to member states according to their population, since 2014 with no state having more than 96, but no fewer than 6, to maintain proportionality. The most recent Union-wide elections to the European Parliament were the European elections of 2019, held from 23 to 26 May 2019. They were the largest simultaneous transnational elections ever held anywhere in the world. The first session of the ninth parliament started 2 July 2019. European political parties have the exclusive right to campaign during the European elections (as opposed to their corresponding EP groups). There have been a number of proposals designed to attract greater public attention to the elections. One such innovation in the 2014 elections was that the pan-European political parties fielded "candidates" for president of the Commission, the so-called Spitzenkandidaten (German, "leading candidates" or "top candidates"). However, European Union governance is based on a mixture of intergovernmental and supranational features: the President of the European Commission is nominated by the European Council, representing the governments of the member states, and there is no obligation for them to nominate the successful "candidate". The Lisbon Treaty merely states that they should take account of the results of the elections when choosing whom to nominate. The so-called Spitzenkandidaten were Jean-Claude Juncker for the European People's Party, Martin Schulz for the Party of European Socialists, Guy Verhofstadt for the Alliance of Liberals and Democrats for Europe Party, Ska Keller and José Bové jointly for the European Green Party and Alexis Tsipras for the Party of the European Left. Turnout dropped consistently every year since the first election, and from 1999 until 2019 was below 50%. In 2007 both Bulgaria and Romania elected their MEPs in by-elections, having joined at the beginning of 2007. The Bulgarian and Romanian elections saw two of the lowest turnouts for European elections, just 28.6% and 28.3% respectively. This trend was interrupted in the 2019 election, when turnout increased by 8% EU-wide, rising to 50.6%, the highest since 1994. In England, Scotland and Wales, EP elections were originally held for a constituency MEP on a first-past-the-post basis. In 1999 the system was changed to a form of proportional representation where a large group of candidates stand for a post within a very large regional constituency. One can vote for a party, but not a candidate (unless that party has a single candidate). Proceedings Each year the activities of the Parliament cycle between committee weeks where reports are discussed in committees and interparliamentary delegations meet, political group weeks for members to discuss work within their political groups and session weeks where members spend 3½ days in Strasbourg for part-sessions. In addition six 2-day part-sessions are organised in Brussels throughout the year. Four weeks are allocated as constituency week to allow members to do exclusively constituency work. Finally there are no meetings planned during the summer weeks. The Parliament has the power to meet without being convened by another authority. Its meetings are partly controlled by the treaties but are otherwise up to Parliament according to its own "Rules of Procedure" (the regulations governing the parliament). During sessions, members may speak after being called on by the President. Members of the Council or Commission may also attend and speak in debates. Partly due to the need for interpretation, and the politics of consensus in the chamber, debates tend to be calmer and more polite than, say, the Westminster system. Voting is conducted primarily by a show of hands, that may be checked on request by electronic voting. Votes of MEPs are not recorded in either case, however; that only occurs when there is a roll-call ballot. This is required for the final votes on legislation and also whenever a political group or 30 MEPs request it. The number of roll-call votes has increased with time. Votes can also be a completely secret ballot (for example, when the president is elected). All recorded votes, along with minutes and legislation, are recorded in the Official Journal of the European Union and can be accessed online. Votes usually do not follow a debate, but rather they are grouped with other due votes on specific occasions, usually at noon on Tuesdays, Wednesdays or Thursdays. This is because the length of the vote is unpredictable and if it continues for longer than allocated it can disrupt other debates and meetings later in the day. Members are arranged in a hemicycle according to their political groups (in the Common Assembly, prior to 1958, members sat alphabetically) who are ordered mainly by left to right, but some smaller groups are placed towards the outer ring of the Parliament. All desks are equipped with microphones, headphones for translation and electronic voting equipment. The leaders of the groups sit on the front benches at the centre, and in the very centre is a podium for guest speakers. The remaining half of the circular chamber is primarily composed of the raised area where the President and staff sit. Further benches are provided between the sides of this area and the MEPs, these are taken up by the Council on the far left and the Commission on the far right. Both the Brussels and Strasbourg hemicycle roughly follow this layout with only minor differences. The hemicycle design is a compromise between the different Parliamentary systems. The British-based system has the different groups directly facing each other while the French-based system is a semicircle (and the traditional German system had all members in rows facing a rostrum for speeches). Although the design is mainly based on a semicircle, the opposite ends of the spectrum do still face each other. With access to the chamber limited, entrance is controlled by ushers who aid MEPs in the chamber (for example in delivering documents). The ushers can also occasionally act as a form of police in enforcing the President, for example in ejecting an MEP who is disrupting the session (although this is rare). The first head of protocol in the Parliament was French, so many of the duties in the Parliament are based on the French model first developed following the French Revolution. The 180 ushers are highly visible in the Parliament, dressed in black tails and wearing a silver chain, and are recruited in the same manner as the European civil service. The President is allocated a personal usher. President and organisation The President is essentially the speaker of the Parliament and presides over the plenary when it is in session. The President's signature is required for all acts adopted by co-decision, including the EU budget. The President is also responsible for representing the Parliament externally, including in legal matters, and for the application of the rules of procedure. The President is elected for two-and-a-half-year terms, meaning two elections per parliamentary term. The current President of the European Parliament is Roberta Metsola, who was elected in January 2022. In most countries, the protocol of the head of state comes before all others; however, in the EU the Parliament is listed as the first institution, and hence the protocol of its president comes before any other European, or national, protocol. The gifts given to numerous visiting dignitaries depend upon the President. President Josep Borrell MEP of Spain gave his counterparts a crystal cup created by an artist from Barcelona who had engraved upon it parts of the Charter of Fundamental Rights among other things. A number of notable figures have been President of the Parliament and its predecessors. The first President was Paul-Henri Spaak MEP, one of the founding fathers of the Union. Other founding fathers include Alcide de Gasperi MEP and Robert Schuman MEP. The two female Presidents were Simone Veil MEP in 1979 (first President of the elected Parliament) and Nicole Fontaine MEP in 1999, both Frenchwomen. The previous president, Jerzy Buzek was the first East-Central European to lead an EU institution, a former Prime Minister of Poland who rose out of the Solidarity movement in Poland that helped overthrow communism in the Eastern Bloc. During the election of a President, the previous President (or, if unable to, one of the previous Vice-Presidents) presides over the chamber. Prior to 2009, the oldest member fulfilled this role but the rule was changed to prevent far-right French MEP Jean-Marie Le Pen taking the chair. Below the President, there are 14 Vice-Presidents who chair debates when the President is not in the chamber. There are a number of other bodies and posts responsible for the running of parliament besides these speakers. The two main bodies are the Bureau, which is responsible for budgetary and administration issues, and the Conference of Presidents which is a governing body composed of the presidents of each of the parliament's political groups. Looking after the financial and administrative interests of members are five Quaestors. , the European Parliament budget was EUR 1.756 billion. A 2008 report on the Parliament's finances highlighted certain overspending and miss-payments. Despite some MEPs calling for the report to be published, Parliamentary authorities had refused until an MEP broke confidentiality and leaked it. Committees and delegations The Parliament has 20 Standing Committees consisting of 25 to 73 MEPs each (reflecting the political make-up of the whole Parliament) including a chair, a bureau and secretariat. They meet twice a month in public to draw up, amend to adopt legislative proposals and reports to be presented to the plenary. The rapporteurs for a committee are supposed to present the view of the committee, although notably this has not always been the case. In the events leading to the resignation of the Santer Commission, the rapporteur went against the Budgetary Control Committee's narrow vote to discharge the budget, and urged the Parliament to reject it. Committees can also set up sub-committees (e.g. the Subcommittee on Human Rights) and temporary committees to deal with a specific topic (e.g. on extraordinary rendition). The chairs of the Committees co-ordinate their work through the "Conference of Committee Chairmen". When co-decision was introduced it increased the Parliament's powers in a number of areas, but most notably those covered by the Committee on the Environment, Public Health and Food Safety. Previously this committee was considered by MEPs as a "Cinderella committee"; however, as it gained a new importance, it became more professional and rigorous, attracting increasing attention to its work. The nature of the committees differ from their national counterparts as, although smaller in comparison to those of the United States Congress, the European Parliament's committees are unusually large by European standards with between eight and twelve dedicated members of staff and three to four support staff. Considerable administration, archives and research resources are also at the disposal of the whole Parliament when needed. Delegations of the Parliament are formed in a similar manner and are responsible for relations with Parliaments outside the EU. There are 34 delegations made up of around 15 MEPs, chairpersons of the delegations also cooperate in a conference like the committee chairs do. They include "Interparliamentary delegations" (maintain relations with Parliament outside the EU), "joint parliamentary committees" (maintaining relations with parliaments of states which are candidates or associates of the EU), the delegation to the ACP EU Joint Parliamentary Assembly and the delegation to the Euro-Mediterranean Parliamentary Assembly. MEPs also participate in other international activities such as the Euro-Latin American Parliamentary Assembly, the Transatlantic Legislators' Dialogue and through election observation in third countries. Intergroups The Intergroups in the European Parliament are informal fora which gather MEPs from various political groups around any topic. They do not express the view of the European Parliament. They serve a double purpose: to address a topic which is transversal to several committees and in a less formal manner. Their daily secretariat can be run either through the office of MEPs or through interest groups, be them corporate lobbies or NGOs. The favored access to MEPs which the organization running the secretariat enjoys can be one explanation to the multiplication of Intergroups in the 1990s. They are now strictly regulated and financial support, direct or otherwise (via Secretariat staff, for example) must be officially specified in a declaration of financial interests. Also Intergroups are established or renewed at the beginning of each legislature through a specific process. Indeed, the proposal for the constitution or renewal of an Intergroup must be supported by at least 3 political groups whose support is limited to a specific number of proposals in proportion to their size (for example, for the legislature 2014-2019, the EPP or S&D political groups could support 22 proposals whereas the Greens/EFA or the EFDD political groups only 7). Translation and interpretation Speakers in the European Parliament are entitled to speak in any of the 24 official languages of the European Union, ranging from French and German to Maltese and Irish. Simultaneous interpreting is offered in all plenary sessions, and all final texts of legislation are translated. With twenty-four languages, the European Parliament is the most multilingual parliament in the world and the biggest employer of interpreters in the world (employing 350 full-time and 400 free-lancers when there is higher demand). Citizens may also address the Parliament in Basque, Catalan/Valencian and Galician. Usually a language is translated from a foreign tongue into a translator's native tongue. Due to the large number of languages, some being minor ones, since 1995 interpreting is sometimes done the opposite way, out of an interpreter's native tongue (the "retour" system). In addition, a speech in a minor language may be interpreted through a third language for lack of interpreters ("relay" interpreting) for example, when interpreting out of Estonian into Maltese. Due to the complexity of the issues, interpretation is not word for word. Instead, interpreters have to convey the political meaning of a speech, regardless of their own views. This requires detailed understanding of the politics and terms of the Parliament, involving a great deal of preparation beforehand (e.g. reading the documents in question). Difficulty can often arise when MEPs use profanities, jokes and word play or speak too fast. While some see speaking their native language as an important part of their identity, and can speak more fluently in debates, interpretation and its cost has been criticised by some. A 2006 report by Alexander Stubb MEP highlighted that by only using English, French and German costs could be reduced from €118,000 per day (for 21 languages then Romanian, Bulgarian and Croatian having not yet been included) to €8,900 per day. There has also been a small-scale campaign to make French the reference language for all legal texts, on the basis of an argument that it is more clear and precise for legal purposes. Because the proceedings are translated into all of the official EU languages, they have been used to make a multilingual corpus known as Europarl. It is widely used to train statistical machine translation systems. Annual costs According to the European Parliament website, the annual parliament budget for 2016 was €1.838 billion. The main cost categories were: 34% staff, interpretation and translation costs 24% information policy, IT, telecommunications 23% MEPs' salaries, expenses, travel, offices and staff 13% buildings 6% political group activities According to a European Parliament study prepared in 2013, the Strasbourg seat costs an extra €103 million over maintaining a single location and according to the Court of Auditors an additional €5 million is related to travel expenses caused by having two seats. As a comparison, the German lower house of parliament (Bundestag) is estimated to cost €517 million in total for 2018, for a parliament with 709 members. The British House of Commons reported total annual costs in 2016-2017 of £249 million (€279 million). It had 650 seats. According to The Economist, the European Parliament costs more than the British, French and German parliaments combined. A quarter of the costs is estimated to be related to translation and interpretation costs (c. €460 million) and the double seats are estimated to add an additional €180 million a year. For a like-for-like comparison, these two cost blocks can be excluded. On 2 July 2018, MEPs rejected proposals to tighten the rules around the General Expenditure Allowance (GEA), which "is a controversial €4,416 per month payment that MEPs are given to cover office and other expenses, but they are not required to provide any evidence of how the money is spent". Seat The Parliament is based in three different cities with numerous buildings. A protocol attached to the Treaty of Amsterdam requires that 12 plenary sessions be held in Strasbourg (none in August but two in September), which is the Parliament's official seat, while extra part sessions as well as committee meetings are held in Brussels. Luxembourg City hosts the Secretariat of the European Parliament. The European Parliament is one of at least two assemblies in the world with more than one meeting place (another being the parliament of the Isle of Man, Tynwald) and one of the few that does not have the power to decide its own location. The Strasbourg seat is seen as a symbol of reconciliation between France and Germany, the Strasbourg region having been fought over by the two countries in the past. However, the cost and inconvenience of having two seats is questioned. While Strasbourg is the official seat, and sits alongside the Council of Europe, Brussels is home to nearly all other major EU institutions, with the majority of Parliament's work being carried out there. Critics have described the two-seat arrangement as a "travelling circus", and there is a strong movement to establish Brussels as the sole seat. This is because the other political institutions (the Commission, Council and European Council) are located there, and hence Brussels is treated as the 'capital' of the EU. This movement has received strong backing from numerous figures, including Margot Wallström, Commission First-Vice President from 2004 to 2010, who stated that "something that was once a very positive symbol of the EU reuniting France and Germany has now become a negative symbol of wasting money, bureaucracy and the insanity of the Brussels institutions". The Green Party has also noted the environmental cost in a study led by Jean Lambert MEP and Caroline Lucas MEP; in addition to the extra 200 million euro spent on the extra seat, there are over 20,268 tonnes of additional carbon dioxide, undermining any environmental stance of the institution and the Union. The campaign is further backed by a million-strong online petition started by Cecilia Malmström MEP. In August 2014, an assessment by the European Court of Auditors calculated that relocating the Strasbourg seat of the European Parliament to Brussels would save €113.8 million per year. In 2006, there were allegations of irregularities in the charges made by the city of Strasbourg on buildings the Parliament rented, thus further harming the case for the Strasbourg seat. Most MEPs prefer Brussels as a single base. A poll of MEPs found 89% of the respondents wanting a single seat, and 81% preferring Brussels. Another survey found 68% support. In July 2011, an absolute majority of MEPs voted in favour of a single seat. In early 2011, the Parliament voted to scrap one of the Strasbourg sessions by holding two within a single week. The mayor of Strasbourg officially reacted by stating "we will counter-attack by upturning the adversary's strength to our own profit, as a judoka would do". However, as Parliament's seat is now fixed by the treaties, it can only be changed by the Council acting unanimously, meaning that France could veto any move. The former French President Nicolas Sarkozy has stated that the Strasbourg seat is "non-negotiable", and that France has no intention of surrendering the only EU Institution on French soil. Given France's declared intention to veto any relocation to Brussels, some MEPs have advocated civil disobedience by refusing to take part in the monthly exodus to Strasbourg. Channels of dialogue, information, and communication with European civil society Over the last few years, European institutions have committed to promoting transparency, openness, and the availability of information about their work. In particular, transparency is regarded as pivotal to the action of European institutions and a general principle of EU law, to be applied to the activities of EU institutions in order to strengthen the Union's democratic foundation. The general principles of openness and transparency are reaffirmed in the articles 8 A, point 3 and 10.3 of the Treaty of Lisbon and the Maastricht Treaty respectively, stating that "every citizen shall have the right to participate in the democratic life of the Union. Decisions shall be taken as openly and as closely as possible to the citizen". Furthermore, both treaties acknowledge the value of dialogue between citizens, representative associations, civil society, and European institutions. Dialogue with religious and non-confessional organisations Article 17 of the Treaty on the Functioning of the European Union (TFEU) lays the juridical foundation for an open, transparent dialogue between European institutions and churches, religious associations, and non-confessional and philosophical organisations. In July 2014, in the beginning of the 8th term, then President of the European Parliament Martin Schulz tasked Antonio Tajani, then Vice-President, with implementing the dialogue with the religious and confessional organisations included in article 17. In this framework, the European Parliament hosts high-level conferences on inter-religious dialogue, also with focus on current issues and in relation with parliamentary works. European Parliament Mediator for International Parental Child Abduction The chair of European Parliament Mediator for International Parental Child Abduction was established in 1987 by initiative of British MEP Charles Henry Plumb, with the goal of helping minor children of international couples victim of parental abduction. The Mediator finds negotiated solutions in the higher interest of the minor when said minor is abducted by a parent following separation of the couple, regardless whether married or unmarried. Since its institution, the chair has been held by Mairead McGuinness (since 2014), Roberta Angelilli (2009–2014), Evelyne Gebhardt (2004–2009), Mary Banotti (1995–2004), and Marie-Claude Vayssade (1987–1994). The Mediator's main task is to assist parents in finding a solution in the minor's best interest through mediation, i.e. a form of controversy resolution alternative to lawsuit. The Mediator is activated by request of a citizen and, after evaluating the request, starts a mediation process aimed at reaching an agreement. Once subscribed by both parties and the Mediator, the agreement is official. The nature of the agreement is that of a private contract between parties. In defining the agreement, the European Parliament offers the parties the juridical support necessary to reach a sound, lawful agreement based on legality and equity. The agreement can be ratified by the competent national courts and can also lay the foundation for consensual separation or divorce. European Parliamentary Research Service The European Parliamentary Research Service (EPRS) is the European Parliament's in-house research department and think tank. It provides Members of the European Parliament and, where appropriate, parliamentary committees with independent, objective and authoritative analysis of, and research on, policy issues relating to the European Union, in order to assist them in their parliamentary work. It is also designed to increase Members' and EP committees' capacity to scrutinise and oversee the European Commission and other EU executive bodies. EPRS aims to provide a comprehensive range of products and services, backed by specialist internal expertise and knowledge sources in all policy fields, so empowering Members and committees through knowledge and contributing to the Parliament's effectiveness and influence as an institution. In undertaking this work, the EPRS supports and promotes parliamentary outreach to the wider public, including dialogue with relevant stakeholders in the EU's system of multi-level governance. All publications by EPRS are publicly available on the EP Think Tank platform. Eurobarometer of the European Parliament The European Parliament periodically commissions opinion polls and studies on public opinion trends in Member States to survey perceptions and expectations of citizens about its work and the overall activities of the European Union. Topics include citizens' perception of the European Parliament's role, their knowledge of the institution, their sense of belonging in the European Union, opinions on European elections and European integration, identity, citizenship, political values, but also on current issues such as climate change, current economy and politics, etc.. Eurobarometer analyses seek to provide an overall picture of national situations, regional specificities, socio-demographic cleavages, and historical trends. Prizes Sakharov Prize With the Sakharov Prize, created in 1988, the European Parliament supports human rights by awarding individuals that contribute to promoting human rights worldwide, thus raising awareness on human rights violations. Priorities include: protection of human rights and fundamental liberties, with particular focus on freedom of expression; protection of minority rights; compliance with international law; and development of democracy and authentic rule of law. European Charlemagne Youth Prize The European Charlemagne Youth Prize seeks to encourage youth participation in the European integration process. It is awarded by the European Parliament and the Foundation of the International Charlemagne Prize of Aachen to youth projects aimed at nurturing common European identity and European citizenship. European Citizens' Prize The European Citizens' Prize is awarded by the European Parliament to activities and actions carried out by citizens and associations to promote integration between the citizens of EU member states and transnational cooperation projects in the EU. LUX Prize Since 2007, the LUX Prize is awarded by the European Parliament to films dealing with current topics of public European interest that encourage reflection on Europe and its future. Over time, the Lux Prize has become a prestigious cinema award which supports European film and production also outside the EU. Daphne Caruana Galizia Journalism Prize From 2021, the Daphne Caruana Galizia Journalism prize shall be awarded by the European Parliament to outstanding journalism that reflect EU values. The prize consists in an award of 20,000 euros and the very first winner will be revealed in October 2021. This award is named after the late Maltese journalist, Daphne Caruana Galizia who was assassinated in Malta on 16 October 2017. In 2021 the prize was awarded to the Pegasus Project. See also Parlamentarium Parliamentwatch State of the Union address (European Union) Rules of Procedure of the European Parliament Notes References Further reading The same three co-authors have written every edition since the first in 1990. (draft version on-line) Lodge, Juliet, ed. The 2009 Elections to the European Parliament (Palgrave Macmillan; 2011) 327 pages Sabbati, Giulio (2015). European Parliament: Facts and Figures. European Parliament – European Parliamentary Research Service (EPRS). Dick Toornstra; Christian Meseth (2012). Inside the European Parliament: A guide to its parliamentary and administrative structures. European Parliament – Office for Promotion of Parliamentary Democracy (OPPD). External links 1952 establishments in France Organisations based in Brussels Organizations based in Strasbourg Organizations established in 1952 E
9582
https://en.wikipedia.org/wiki/European%20Council
European Council
The European Council (informally EUCO) is a collegiate body that defines the overall political direction and priorities of the European Union. It is composed of the heads of state or government of the EU member states, the President of the European Council, and the President of the European Commission. The High Representative of the Union for Foreign Affairs and Security Policy also takes part in its meetings. Established as an informal summit in 1975, the European Council was formalised as an institution in 2009 upon the commencement of the Treaty of Lisbon. Its current president is Charles Michel, former Prime Minister of Belgium. Scope While the European Council has no legislative power, it is a strategic (and crisis-solving) body that provides the union with general political directions and priorities, and acts as a collective presidency. The European Commission remains the sole initiator of legislation, but the European Council is able to provide an impetus to guide legislative policy. The meetings of the European Council, still commonly referred to as EU summits, are chaired by its president and take place at least twice every six months; usually in the Europa building in Brussels. Decisions of the European Council are taken by consensus, except where the Treaties provide otherwise. History The European Council officially gained the status of an EU institution after the Treaty of Lisbon in 2007, distinct from the Council of the European Union (Council of Ministers). Before that, the first summits of EU heads of state or government were held in February and July 1961 (in Paris and Bonn respectively). They were informal summits of the leaders of the European Community, and were started due to then-French President Charles de Gaulle's resentment at the domination of supranational institutions (notably the European Commission) over the integration process, but petered out. The first influential summit held, after the departure of de Gaulle, was the Hague summit of 1969, which reached an agreement on the admittance of the United Kingdom into the Community and initiated foreign policy cooperation (the European Political Cooperation) taking integration beyond economics. The summits were only formalised in the period between 1974 and 1988. At the December summit in Paris in 1974, following a proposal from then-French president Valéry Giscard d'Estaing, it was agreed that more high level, political input was needed following the "empty chair crisis" and economic problems. The inaugural European Council, as it became known, was held in Dublin on 10 and 11 March 1975 during Ireland's first Presidency of the Council of Ministers. In 1987, it was included in the treaties for the first time (the Single European Act) and had a defined role for the first time in the Maastricht Treaty. At first only a minimum of two meetings per year were required, which resulted in an average of three meetings per year being held for the 1975–1995 period. Since 1996, the number of meetings were required to be minimum four per year. For the latest 2008–2014 period, this minimum was well exceeded, by an average of seven meetings being held per year. The seat of the Council was formalised in 2002, basing it in Brussels. Three types of European Councils exist: Informal, Scheduled and Extraordinary. While the informal meetings are also scheduled 1½ years in advance, they differ from the scheduled ordinary meetings by not ending with official Council conclusions, as they instead end by more broad political Statements on some cherry picked policy matters. The extraordinary meetings always end with official Council conclusions - but differs from the scheduled meetings by not being scheduled more than a year in advance, as for example in 2001 when the European Council gathered to lead the European Union's response to the 11 September attacks. Some meetings of the European Council—and, before the European Council was formalised, meetings of the heads of government—are seen by some as turning points in the history of the European Union. For example: 1969, The Hague: Foreign policy and enlargement. 1974, Paris: Creation of the council. 1985, Milan: Initiate IGC leading to the Single European Act. 1991, Maastricht: Agreement on the Maastricht Treaty. 1992, Edinburgh: Agreement (by treaty provision) to retain at Strasbourg the plenary seat of the European Parliament. 1993, Copenhagen: Leading to the definition of the Copenhagen Criteria. 1997, Amsterdam: Agreement on the Amsterdam Treaty. 1998, Brussels: Selected member states to adopt the euro. 1999; Cologne: Declaration on military forces. 1999, Tampere: Institutional reform 2000, Lisbon: Lisbon Strategy 2002, Copenhagen: Agreement for May 2004 enlargement. 2007, Lisbon: Agreement on the Lisbon Treaty. 2009, Brussels: Appointment of first president and merged High Representative. 2010, European Financial Stability Facility As such, the European Council had already existed before it gained the status as an institution of the European Union with the entering into force of the Treaty of Lisbon, but even after it had been mentioned in the treaties (since the Single European Act) it could only take political decisions, not formal legal acts. However, when necessary, the Heads of State or Government could also meet as the Council of Ministers and take formal decisions in that role. Sometimes, this was even compulsory, e.g. Article 214(2) of the Treaty establishing the European Community provided (before it was amended by the Treaty of Lisbon) that ‘the Council, meeting in the composition of Heads of State or Government and acting by a qualified majority, shall nominate the person it intends to appoint as President of the Commission’ (emphasis added); the same rule applied in some monetary policy provisions introduced by the Maastricht Treaty (e.g. Article 109j TEC). In that case, what was politically part of a European Council meeting was legally a meeting of the Council of Ministers. When the European Council, already introduced into the treaties by the Single European Act, became an institution by virtue of the Treaty of Lisbon, this was no longer necessary, and the "Council [of the European Union] meeting in the composition of the Heads of State or Government", was replaced in these instances by the European Council now taking formal legally binding decisions in these cases (Article 15 of the Treaty on European Union). The Treaty of Lisbon made the European Council a formal institution distinct from the (ordinary) Council of the EU, and created the present longer term and full-time presidency. As an outgrowth of the Council of the EU, the European Council had previously followed the same Presidency, rotating between each member state. While the Council of the EU retains that system, the European Council established, with no change in powers, a system of appointing an individual (without them being a national leader) for a two-and-a-half-year term—which can be renewed for the same person only once. Following the ratification of the treaty in December 2009, the European Council elected the then-Prime Minister of Belgium Herman Van Rompuy as its first permanent president (resigning from Belgian Prime Minister). Powers and functions The European Council is an official institution of the EU, described in the Lisbon Treaty as a body which "shall provide the Union with the necessary impetus for its development". Essentially it defines the EU's policy agenda and has thus been considered to be the motor of European integration. Beyond the need to provide "impetus", the council has developed further roles: to "settle issues outstanding from discussions at a lower level", to lead in foreign policy — acting externally as a "collective Head of State", "formal ratification of important documents" and "involvement in the negotiation of the treaty changes". Since the institution is composed of national leaders, it gathers the executive power of the member states and has thus a great influence in high-profile policy areas as for example foreign policy. It also exercises powers of appointment, such as appointment of its own President, the High Representative of the Union for Foreign Affairs and Security Policy, and the President of the European Central Bank. It proposes, to the European Parliament, a candidate for President of the European Commission. Moreover, the European Council influences police and justice planning, the composition of the commission, matters relating to the organisation of the rotating Council presidency, the suspension of membership rights, and changing the voting systems through the Passerelle Clause. Although the European Council has no direct legislative power, under the "emergency brake" procedure, a state outvoted in the Council of Ministers may refer contentious legislation to the European Council. However, the state may still be outvoted in the European Council. Hence with powers over the supranational executive of the EU, in addition to its other powers, the European Council has been described by some as the Union's "supreme political authority". Composition The European Council consists of the heads of state or government of the member states, alongside its own President and the Commission President (both non-voting). The meetings used to be regularly attended by the national foreign minister as well, and the Commission President likewise accompanied by another member of the commission. However, since the Treaty of Lisbon, this has been discontinued, as the size of the body had become somewhat large following successive accessions of new Member States to the Union. Meetings can also include other invitees, such as the President of the European Central Bank, as required. The Secretary-General of the Council attends, and is responsible for organisational matters, including minutes. The President of the European Parliament also attends to give an opening speech outlining the European Parliament's position before talks begin. Additionally, the negotiations involve a large number of other people working behind the scenes. Most of those people, however, are not allowed to the conference room, except for two delegates per state to relay messages. At the push of a button members can also call for advice from a Permanent Representative via the "Antici Group" in an adjacent room. The group is composed of diplomats and assistants who convey information and requests. Interpreters are also required for meetings as members are permitted to speak in their own languages. As the composition is not precisely defined, some states which have a considerable division of executive power can find it difficult to decide who should attend the meetings. While an MEP, Alexander Stubb argued that there was no need for the President of Finland to attend Council meetings with or instead of the Prime Minister of Finland (who was head of European foreign policy). In 2008, having become Finnish Foreign Minister, Stubb was forced out of the Finnish delegation to the emergency council meeting on the Georgian crisis because the President wanted to attend the high-profile summit as well as the Prime Minister (only two people from each country could attend the meetings). This was despite Stubb being Chair-in-Office of the Organisation for Security and Co-operation in Europe at the time which was heavily involved in the crisis. Problems also occurred in Poland where the President of Poland and the Prime Minister of Poland were of different parties and had a different foreign policy response to the crisis. A similar situation arose in Romania between President Traian Băsescu and Prime Minister Călin Popescu-Tăriceanu in 2007–2008 and again in 2012 with Prime Minister Victor Ponta, who both opposed the president. Eurozone summits A number of ad hoc meetings of Heads of State or Government of the Euro area countries were held in 2010 and 2011 to discuss the Sovereign Debt crisis. It was agreed in October 2011 that they should meet regularly twice a year (with extra meetings if needed). This will normally be at the end of a European Council meeting and according to the same format (chaired by the President of the European Council and including the President of the commission), but usually restricted to the (currently 19) Heads of State or Government of countries whose currency is the euro. President The President of the European Council is elected by the European Council by a qualified majority for a once-renewable term of two and a half years. The President must report to the European Parliament after each European Council meeting. The post was created by the Treaty of Lisbon and was subject to a debate over its exact role. Prior to Lisbon, the Presidency rotated in accordance with the Presidency of the Council of the European Union. The role of that President-in-Office was in no sense (other than protocol) equivalent to an office of a head of state, merely a primus inter pares (first among equals) role among other European heads of government. The President-in-Office was primarily responsible for preparing and chairing the Council meetings, and had no executive powers other than the task of representing the Union externally. Now the leader of the Council Presidency country can still act as president when the permanent president is absent. Members Source: (8 + 1 non-voting from the EU institution) (7) (6 + 1 non-voting from the EU institution) (4) (2) Political alliances Almost all members of the European Council are members of a political party at national level, and most of these are members of a European-level political party or other alliances such as Renew Europe. These frequently hold pre-meetings of their European Council members, prior to its meetings. However, the European Council is composed to represent the EU's states rather than political alliances and decisions are generally made on these lines, though ideological alignment can colour their political agreements and their choice of appointments (such as their president). The table below outlines the number of leaders affiliated to each alliance and their total voting weight. The map indicates the alignment of each individual country. Although some of the current members are officially independent they informally align with certain political groups: Emmanuel Macron of France is usually allied with the liberal bloc (now Renew), his party is a member of the Renew Group in the European Parliament. Eduard Heger of Slovakia is allied with the EPP; his political party is also a member of the EPP Group in the European Parliament. Viktor Orban of Hungary, formerly affiliated with the EPP, has been advocating conservative positions, close to those of the Polish Prime Minister Mateusz Morawiecki, who is a member of the ECR. Members timeline Seat and meetings The European Council is required by Article 15.3 TEU to meet at least twice every six months, but convenes more frequently in practice. Despite efforts to contain business, meetings typically last for at least two days, and run long into the night. Until 2002, the venue for European Council summits was the member state that held the rotating Presidency of the Council of the European Union. However, European leaders agreed during ratification of the Nice Treaty to forego this arrangement at such a time as the total membership of the European Union surpassed 18 member states. An advanced implementation of this agreement occurred in 2002, with certain states agreeing to waive their right to host meetings, favouring Brussels as the location. Following the growth of the EU to 25 member states, with the 2004 enlargement, all subsequent official summits of the European Council have been in Brussels, with the exception of punctuated ad hoc meetings, such as the 2017 informal European Council in Malta. The logistical, environmental, financial and security arrangements of hosting large summits are usually cited as the primary factors in the decision by EU leaders to move towards a permanent seat for the European Council. Additionally, some scholars argue that the move, when coupled with the formalisation of the European Council in the Lisbon Treaty, represents an institutionalisation of an ad hoc EU organ that had its origins in Luxembourg compromise, with national leaders reasserting their dominance as the EU's "supreme political authority". Originally, both the European Council and the Council of the European Union utilised the Justus Lipsius building as their Brussels venue. In order to make room for additional meeting space a number of renovations were made, including the conversion of an underground carpark into additional press briefing rooms. However, in 2004 leaders decided the logistical problems created by the outdated facilities warranted the construction of a new purpose built seat able to cope with the nearly 6,000 meetings, working groups, and summits per year. This resulted in the Europa building, which opened its doors in 2017. The focal point of the new building, the distinctive multi-storey "lantern-shaped" structure in which the main meeting room is located, is utilised in both the European Council's and Council of the European Union's official logos. Role in security and defence See also Laeken indicators Euro summit Presidency of the Council of the European Union References Further reading External links Official website Access to documents of the European Council on EUR-Lex Archive of European Integration – Summit Guide European Council Collection of documents - CVCE Reflection Group established by the European Council EU Council: Relations with EaP region of strategic importance Politics of the European Union
9602
https://en.wikipedia.org/wiki/Edinburgh
Edinburgh
Edinburgh (; ; ) is the capital city of Scotland and one of its 32 council areas. Historically part of the county of Midlothian (interchangeably Edinburghshire before 1921), it is located in Lothian on the southern shore of the Firth of Forth. Edinburgh is Scotland's second-most populous city and the seventh-most populous city in the United Kingdom. Recognised as the capital of Scotland since at least the 15th century, Edinburgh is the seat of the Scottish Government, the Scottish Parliament and the highest courts in Scotland. The city's Palace of Holyroodhouse is the official residence of the monarch in Scotland. The city has long been a centre of education, particularly in the fields of medicine, Scots law, literature, philosophy, the sciences and engineering. It is the second-largest financial centre in the United Kingdom, and the city's historical and cultural attractions have made it the UK's second-most visited tourist destination attracting 4.9 million visits, including 2.4 million from overseas in 2018. Edinburgh's official population estimates are (mid-2016) for the Edinburgh locality, (mid-2019) for the City of Edinburgh council area, and 1,339,380 (2014) for the wider city region. Edinburgh lies at the heart of the Edinburgh and South East Scotland city region comprising East Lothian, Edinburgh, Fife, Midlothian, Scottish Borders and West Lothian. The city is the annual venue of the General Assembly of the Church of Scotland. It is home to national cultural institutions such as the National Museum of Scotland, the National Library of Scotland and the Scottish National Gallery. The University of Edinburgh, founded in 1582 and now one of three in the city, is placed 16th in the QS World University Rankings for 2022. The city is also known for the Edinburgh International Festival and the Fringe, the latter being the world's largest annual international arts festival. Historic sites in Edinburgh include Edinburgh Castle, the Palace of Holyroodhouse, the churches of St. Giles, Greyfriars and the Canongate, and the extensive Georgian New Town built in the 18th/19th centuries. Edinburgh's Old Town and New Town together are listed as a UNESCO World Heritage Site, which has been managed by Edinburgh World Heritage since 1999. Etymology "Edin", the root of the city's name, derives from Eidyn, the name for this region in Cumbric, the Brittonic Celtic language formerly spoken there. The name's meaning is unknown. The district of Eidyn centred on the stronghold Din Eidyn, the dun or hillfort of Eidyn. This stronghold is believed to have been located at Castle Rock, now the site of Edinburgh Castle. Eidyn was conquered by the Angles of Bernicia in the 7th century and later occupied by the Scots in the 10th century. As the language shifted to Northumbrian Old English, which evolved into Scots, the Brittonic din in Din Eidyn was replaced by burh, producing Edinburgh. Similarly, din became dùn in Scottish Gaelic, producing Dùn Èideann. Nicknames The city is affectionately nicknamed Auld Reekie, Scots for Old Smoky, for the views from the country of the smoke-covered Old Town. A remark on a poem in an 1800 collection of the poems of Allan Ramsay said, "Auld Reeky. A name the country people give Edinburgh from the cloud of smoke or reek that is always impending over it." Thomas Carlyle said, "Smoke cloud hangs over old Edinburgh,—for, ever since Aeneas Silvius's time and earlier, the people have the art, very strange to Aeneas, of burning a certain sort of black stones, and Edinburgh with its chimneys is called 'Auld Reekie' by the country people." A character in Walter Scott's The Abbot says "... yonder stands Auld Reekie—you may see the smoke hover over her at twenty miles' distance." Robert Chambers who said that the sobriquet could not be traced before the reign of Charles II attributed the name to a Fife laird, Durham of Largo, who regulated the bedtime of his children by the smoke rising above Edinburgh from the fires of the tenements. "It's time now bairns, to tak' the beuks, and gang to our beds, for yonder's Auld Reekie, I see, putting on her nicht -cap!" Edinburgh has been popularly called the Athens of the North from the early 19th century. References to Athens, such as Athens of Britain and Modern Athens, had been made as early as the 1760s. The similarities were seen to be topographical but also intellectual. Edinburgh's Castle Rock reminded returning grand tourists of the Athenian Acropolis, as did aspects of the neoclassical architecture and layout of New Town. Both cities had flatter, fertile agricultural land sloping down to a port several miles away (respectively Leith and Piraeus). Intellectually, the Scottish Enlightenment with its humanist and rationalist outlook was influenced by Ancient Greek philosophy. In 1822, artist Hugh William Williams organized an exhibition that showed his paintings of Athens alongside views of Edinburgh, and the idea of a direct parallel between both cities quickly caught the popular imagination. When plans were drawn up in the early 19th century to architecturally develop Calton Hill, the design of the National Monument directly copied Athens' Parthenon. Tom Stoppard's character Archie, of Jumpers, said, perhaps playing on Reykjavík meaning "smoky bay", that the "Reykjavík of the South" would be more appropriate. The city has also been known by several Latin names such as Edinburgum while the adjectival forms Edinburgensis and Edinensis are used in educational and scientific contexts. Edina is a late 18th century poetical form used by the Scots poets Robert Fergusson and Robert Burns. "Embra" or "Embro" are colloquialisms from the same time, as in Robert Garioch's Embro to the Ploy. Ben Jonson described it as "Britaine's other eye", and Sir Walter Scott referred to it as "yon Empress of the North". Robert Louis Stevenson, also a son of the city, wrote that Edinburgh "is what Paris ought to be." History Early history The earliest known human habitation in the Edinburgh area was at Cramond, where evidence was found of a Mesolithic camp site dated to c. 8500 BC. Traces of later Bronze Age and Iron Age settlements have been found on Castle Rock, Arthur's Seat, Craiglockhart Hill and the Pentland Hills. When the Romans arrived in Lothian at the end of the 1st century AD, they found a Brittonic Celtic tribe whose name they recorded as the Votadini. The Votadini transitioned into the Gododdin kingdom in the Early Middle Ages, with Eidyn serving as one of the kingdom's districts. During this period, the Castle Rock site, thought to have been the stronghold of Din Eidyn, emerged as the kingdom's major centre. The medieval poem Y Gododdin describes a war band from across the Brittonic world who gathered in Eidyn before a fateful raid; this may describe a historical event around AD 600. In 638, the Gododdin stronghold was besieged by forces loyal to King Oswald of Northumbria, and around this time control of Lothian passed to the Angles. Their influence continued for the next three centuries until around 950, when, during the reign of Indulf, son of Constantine II, the "burh" (fortress), named in the 10th-century Pictish Chronicle as oppidum Eden, was abandoned to the Scots. It thenceforth remained, for the most part, under their jurisdiction. The royal burgh was founded by King David I in the early 12th century on land belonging to the Crown, though the date of its charter is unknown. The first documentary evidence of the medieval burgh is a royal charter, , by King David I granting a toft in to the Priory of Dunfermline. Edinburgh was largely in English hands from 1291 to 1314 and from 1333 to 1341, during the Wars of Scottish Independence. When the English invaded Scotland in 1298, King Edward I chose not to enter the English controlled town of Edinburgh but passed by with his army. In the middle of the 14th century, the French chronicler Jean Froissart described it as the capital of Scotland (c. 1365), and James III (1451–88) referred to it in the 15th century as "the principal burgh of our kingdom". Despite the destruction caused by an English assault in 1544, the town slowly recovered, and was at the centre of events in the 16th-century Scottish Reformation and 17th-century Wars of the Covenant. In 1582, Edinburgh's town council was given a royal charter by King James VI permitting the establishment of a university; founded as Tounis College, the institution developed into the University of Edinburgh, which contributed to Edinburgh growing intellectual importance. 17th century In 1603, King James VI of Scotland succeeded to the English throne, uniting the crowns of Scotland and England in a personal union known as the Union of the Crowns, though Scotland remained, in all other respects, a separate kingdom. In 1638, King Charles I's attempt to introduce Anglican church forms in Scotland encountered stiff Presbyterian opposition culminating in the conflicts of the Wars of the Three Kingdoms. Subsequent Scottish support for Charles Stuart's restoration to the throne of England resulted in Edinburgh's occupation by Oliver Cromwell's Commonwealth of England forces – the New Model Army – in 1650. In the 17th century, Edinburgh's boundaries were still defined by the city's defensive town walls. As a result, the city's growing population was accommodated by increasing the height of the houses. Buildings of 11 storeys or more were common, and have been described as forerunners of the modern-day skyscraper. Most of these old structures were replaced by the predominantly Victorian buildings seen in today's Old Town. In 1611 an act of parliament created the High Constables of Edinburgh to keep order in the city, thought to be the oldest statutory police force in the world. 18th century Following the Treaty of Union in 1706, the Parliaments of England and Scotland passed Acts of Union in 1706 and 1707 respectively, uniting the two kingdoms in the Kingdom of Great Britain effective from 1 May 1707. As a consequence, the Parliament of Scotland merged with the Parliament of England to form the Parliament of Great Britain, which sat at Westminster in London. The Union was opposed by many Scots, resulting in riots in the city. By the first half of the 18th century, Edinburgh was described as one of Europe's most densely populated, overcrowded and unsanitary towns. Visitors were struck by the fact that the social classes shared the same urban space, even inhabiting the same tenement buildings; although here a form of social segregation did prevail, whereby shopkeepers and tradesmen tended to occupy the cheaper-to-rent cellars and garrets, while the more well-to-do professional classes occupied the more expensive middle storeys. During the Jacobite rising of 1745, Edinburgh was briefly occupied by the Jacobite "Highland Army" before its march into England. After its eventual defeat at Culloden, there followed a period of reprisals and pacification, largely directed at the rebellious clans. In Edinburgh, the Town Council, keen to emulate London by initiating city improvements and expansion to the north of the castle, reaffirmed its belief in the Union and loyalty to the Hanoverian monarch George III by its choice of names for the streets of the New Town: for example, Rose Street and Thistle Street; and for the royal family, George Street, Queen Street, Hanover Street, Frederick Street and Princes Street (in honour of George's two sons). In the second half of the century, the city was at the heart of the Scottish Enlightenment, when thinkers like David Hume, Adam Smith, James Hutton and Joseph Black were familiar figures in its streets. Edinburgh became a major intellectual centre, earning it the nickname "Athens of the North" because of its many neo-classical buildings and reputation for learning, recalling ancient Athens. In the 18th-century novel The Expedition of Humphry Clinker by Tobias Smollett one character describes Edinburgh as a "hotbed of genius". Edinburgh was also a major centre for the Scottish book trade. The highly successful London bookseller Andrew Millar was apprenticed there to James McEuen. From the 1770s onwards, the professional and business classes gradually deserted the Old Town in favour of the more elegant "one-family" residences of the New Town, a migration that changed the city's social character. According to the foremost historian of this development, "Unity of social feeling was one of the most valuable heritages of old Edinburgh, and its disappearance was widely and properly lamented." 19th and 20th centuries Despite an enduring myth to the contrary, Edinburgh became an industrial centre with its traditional industries of printing, brewing and distilling continuing to grow in the 19th century and joined by new industries such as rubber works, engineering works and others. By 1821, Edinburgh had been overtaken by Glasgow as Scotland's largest city. The city centre between Princes Street and George Street became a major commercial and shopping district, a development partly stimulated by the arrival of railways in the 1840s. The Old Town became an increasingly dilapidated, overcrowded slum with high mortality rates. Improvements carried out under Lord Provost William Chambers in the 1860s began the transformation of the area into the predominantly Victorian Old Town seen today. More improvements followed in the early 20th century as a result of the work of Patrick Geddes, but relative economic stagnation during the two world wars and beyond saw the Old Town deteriorate further before major slum clearance in the 1960s and 1970s began to reverse the process. University building developments which transformed the George Square and Potterrow areas proved highly controversial. Since the 1990s a new "financial district", including the Edinburgh International Conference Centre, has grown mainly on demolished railway property to the west of the castle, stretching into Fountainbridge, a run-down 19th-century industrial suburb which has undergone radical change since the 1980s with the demise of industrial and brewery premises. This ongoing development has enabled Edinburgh to maintain its place as the United Kingdom's second largest financial and administrative centre after London. Financial services now account for a third of all commercial office space in the city. The development of Edinburgh Park, a new business and technology park covering , west of the city centre, has also contributed to the District Council's strategy for the city's major economic regeneration. In 1998, the Scotland Act, which came into force the following year, established a devolved Scottish Parliament and Scottish Executive (renamed the Scottish Government since September 2007). Both based in Edinburgh, they are responsible for governing Scotland while reserved matters such as defence, foreign affairs and some elements of income tax remain the responsibility of the Parliament of the United Kingdom in London. Geography Cityscape Situated in Scotland's Central Belt, Edinburgh lies on the southern shore of the Firth of Forth. The city centre is southwest of the shoreline of Leith and inland, as the crow flies, from the east coast of Scotland and the North Sea at Dunbar. While the early burgh grew up near the prominent Castle Rock, the modern city is often said to be built on seven hills, namely Calton Hill, Corstorphine Hill, Craiglockhart Hill, Braid Hill, Blackford Hill, Arthur's Seat and the Castle Rock, giving rise to allusions to the seven hills of Rome. Occupying a narrow gap between the Firth of Forth to the north and the Pentland Hills and their outrunners to the south, the city sprawls over a landscape which is the product of early volcanic activity and later periods of intensive glaciation. Igneous activity between 350 and 400 million years ago, coupled with faulting, led to the creation of tough basalt volcanic plugs, which predominate over much of the area. One such example is the Castle Rock which forced the advancing ice sheet to divide, sheltering the softer rock and forming a tail of material to the east, thus creating a distinctive crag and tail formation. Glacial erosion on the north side of the crag gouged a deep valley later filled by the now drained Nor Loch. These features, along with another hollow on the rock's south side, formed an ideal natural strongpoint upon which Edinburgh Castle was built. Similarly, Arthur's Seat is the remains of a volcano dating from the Carboniferous period, which was eroded by a glacier moving west to east during the ice age. Erosive action such as plucking and abrasion exposed the rocky crags to the west before leaving a tail of deposited glacial material swept to the east. This process formed the distinctive Salisbury Crags, a series of teschenite cliffs between Arthur's Seat and the location of the early burgh. The residential areas of Marchmont and Bruntsfield are built along a series of drumlin ridges south of the city centre, which were deposited as the glacier receded. Other prominent landforms such as Calton Hill and Corstorphine Hill are also products of glacial erosion. The Braid Hills and Blackford Hill are a series of small summits to the south of the city centre that command expansive views looking northwards over the urban area to the Firth of Forth. Edinburgh is drained by the river named the Water of Leith, which rises at the Colzium Springs in the Pentland Hills and runs for through the south and west of the city, emptying into the Firth of Forth at Leith. The nearest the river gets to the city centre is at Dean Village on the north-western edge of the New Town, where a deep gorge is spanned by Thomas Telford's Dean Bridge, built in 1832 for the road to Queensferry. The Water of Leith Walkway is a mixed-use trail that follows the course of the river for from Balerno to Leith. Excepting the shoreline of the Firth of Forth, Edinburgh is encircled by a green belt, designated in 1957, which stretches from Dalmeny in the west to Prestongrange in the east. With an average width of the principal objectives of the green belt were to contain the outward expansion of the city and to prevent the agglomeration of urban areas. Expansion affecting the green belt is strictly controlled but developments such as Edinburgh Airport and the Royal Highland Showground at Ingliston lie within the zone. Similarly, suburbs such as Juniper Green and Balerno are situated on green belt land. One feature of the Edinburgh green belt is the inclusion of parcels of land within the city which are designated green belt, even though they do not connect with the peripheral ring. Examples of these independent wedges of green belt include Holyrood Park and Corstorphine Hill. Areas Edinburgh includes former towns and villages that retain much of their original character as settlements in existence before they were absorbed into the expanding city of the nineteenth and twentieth centuries. Many areas, such as Dalry, contain residences that are multi-occupancy buildings known as tenements, although the more southern and western parts of the city have traditionally been less built-up with a greater number of detached and semi-detached villas. The historic centre of Edinburgh is divided in two by the broad green swathe of Princes Street Gardens. To the south, the view is dominated by Edinburgh Castle, built high on Castle Rock, and the long sweep of the Old Town descending towards Holyrood Palace. To the north lie Princes Street and the New Town. The West End includes the financial district, with insurance and banking offices as well as the Edinburgh International Conference Centre. Edinburgh's Old and New Towns were listed as a UNESCO World Heritage Site in 1995 in recognition of the unique character of the Old Town with its medieval street layout and the planned Georgian New Town, including the adjoining Dean Village and Calton Hill areas. There are over 4,500 listed buildings within the city, a higher proportion relative to area than any other city in the United Kingdom. The castle is perched on top of a rocky crag (the remnant of an extinct volcano) and the Royal Mile runs down the crest of a ridge from it terminating at Holyrood Palace. Minor streets (called closes or wynds) lie on either side of the main spine forming a herringbone pattern. Due to space restrictions imposed by the narrowness of this landform, the Old Town became home to some of the earliest "high rise" residential buildings. Multi-storey dwellings known as lands were the norm from the 16th century onwards with ten and eleven storeys being typical and one even reaching fourteen or fifteen storeys. Numerous vaults below street level were inhabited to accommodate the influx of incomers, particularly Irish immigrants, during the Industrial Revolution. The street has several fine public buildings such as St Giles' Cathedral, the City Chambers and the Law Courts. Other places of historical interest nearby are Greyfriars Kirkyard and Mary King's Close. The Grassmarket, running deep below the castle is connected by the steep double terraced Victoria Street. The street layout is typical of the old quarters of many Northern European cities. The New Town was an 18th-century solution to the problem of an increasingly crowded city which had been confined to the ridge sloping down from the castle. In 1766 a competition to design a "New Town" was won by James Craig, a 27-year-old architect. The plan was a rigid, ordered grid, which fitted in well with Enlightenment ideas of rationality. The principal street was to be George Street, running along the natural ridge to the north of what became known as the "Old Town". To either side of it are two other main streets: Princes Street and Queen Street. Princes Street has become Edinburgh's main shopping street and now has few of its Georgian buildings in their original state. The three main streets are connected by a series of streets running perpendicular to them. The east and west ends of George Street are terminated by St Andrew Square and Charlotte Square respectively. The latter, designed by Robert Adam, influenced the architectural style of the New Town into the early 19th century. Bute House, the official residence of the First Minister of Scotland, is on the north side of Charlotte Square. The hollow between the Old and New Towns was formerly the Nor Loch, which was created for the town's defence but came to be used by the inhabitants for dumping their sewage. It was drained by the 1820s as part of the city's northward expansion. Craig's original plan included an ornamental canal on the site of the loch, but this idea was abandoned. Soil excavated while laying the foundations of buildings in the New Town was dumped on the site of the loch to create the slope connecting the Old and New Towns known as The Mound. In the middle of the 19th century the National Gallery of Scotland and Royal Scottish Academy Building were built on The Mound, and tunnels for the railway line between Haymarket and Waverley stations were driven through it. The Southside is a residential part of the city, which includes the districts of St Leonards, Marchmont, Morningside, Newington, Sciennes, the Grange and Blackford. The Southside is broadly analogous to the area covered formerly by the Burgh Muir, and was developed as a residential area after the opening of the South Bridge in the 1780s. The Southside is particularly popular with families (many state and private schools are here), young professionals and students (the central University of Edinburgh campus is based around George Square just north of Marchmont and the Meadows), and Napier University (with major campuses around Merchiston and Morningside). The area is also well provided with hotel and "bed and breakfast" accommodation for visiting festival-goers. These districts often feature in works of fiction. For example, Church Hill in Morningside, was the home of Muriel Spark's Miss Jean Brodie, and Ian Rankin's Inspector Rebus lives in Marchmont and works in St Leonards. Leith was historically the port of Edinburgh, an arrangement of unknown date that was confirmed by the royal charter Robert the Bruce granted to the city in 1329. The port developed a separate identity from Edinburgh, which to some extent it still retains, and it was a matter of great resentment when the two burghs merged in 1920 into the City of Edinburgh. Even today the parliamentary seat is known as "Edinburgh North and Leith". The loss of traditional industries and commerce (the last shipyard closed in 1983) resulted in economic decline. The Edinburgh Waterfront development has transformed old dockland areas from Leith to Granton into residential areas with shopping and leisure facilities and helped rejuvenate the area. With the redevelopment, Edinburgh has gained the business of cruise liner companies which now provide cruises to Norway, Sweden, Denmark, Germany, and the Netherlands. The coastal suburb of Portobello is characterised by Georgian villas, Victorian tenements, a beach and promenade and cafés, bars, restaurants and independent shops. There are rowing and sailing clubs and a restored Victorian swimming pool, including Turkish baths. The urban area of Edinburgh is almost entirely within the City of Edinburgh Council boundary, merging with Musselburgh in East Lothian. Towns within easy reach of the city boundary include Haddington, Tranent, Prestonpans, Dalkeith, Bonnyrigg, Loanhead, Penicuik, Broxburn, Livingston and Dunfermline. Edinburgh lies at the heart of the Edinburgh & South East Scotland City region with a population in 2014 of 1,339,380. Climate Like most of Scotland, Edinburgh has a cool, temperate, maritime climate which, despite its northerly latitude, is milder than places which lie at similar latitudes such as Moscow and Labrador. The city's proximity to the sea mitigates any large variations in temperature or extremes of climate. Winter daytime temperatures rarely fall below freezing while summer temperatures are moderate, rarely exceeding . The highest temperature recorded in the city was on 25 July 2019 at Gogarbank, beating the previous record of on 4 August 1975 at Edinburgh Airport. The lowest temperature recorded in recent years was during December 2010 at Gogarbank. Given Edinburgh's position between the coast and hills, it is renowned as "the windy city", with the prevailing wind direction coming from the south-west, which is often associated with warm, unstable air from the North Atlantic Current that can give rise to rainfall – although considerably less than cities to the west, such as Glasgow. Rainfall is distributed fairly evenly throughout the year. Winds from an easterly direction are usually drier but considerably colder, and may be accompanied by haar, a persistent coastal fog. Vigorous Atlantic depressions, known as European windstorms, can affect the city between October and May. Located slightly north of the city centre, the weather station at the Royal Botanic Garden Edinburgh (RBGE) has been an official weather station for the Met Office since 1956. The Met Office operates its own weather station at Gogarbank on the city's western outskirts, near Edinburgh Airport. This slightly inland station has a slightly wider temperature span between seasons, is cloudier and somewhat wetter, but differences are minor. Temperature and rainfall records have been kept at the Royal Observatory since 1764. Demography Current The most recent official population estimates are 512,150 (2016) for the Edinburgh settlement (includes Musselburgh) and 518,500 (2018) for the local authority area. Edinburgh has a high proportion of young adults, with 19.5% of the population in their 20s (exceeded only by Aberdeen) and 15.2% in their 30s which is the highest in Scotland. The proportion of Edinburgh's population born in the UK fell from 92% to 84% between 2001 and 2011, while the proportion of White Scottish-born fell from 78% to 70%. Of those Edinburgh residents born in the UK, 335,000 or 83% were born in Scotland, with 58,000 or 14% being born in England. Some 13,000 people or 2.7% of the city's population are of Polish descent. 39,500 people or 8.2% of Edinburgh's population class themselves as Non-White which is an increase from 4% in 2001. Of the Non-White population, the largest group by far are Asian, totalling 26,264 people. Within the Asian population, people of Chinese descent are now the largest sub-group, with 8,076 people, amounting to about 1.7% of the city's total population. The city's population of Indian descent amounts to 6,470 (1.4% of the total population), while there are some 5,858 of Pakistani descent (1.2% of the total population). Although they account for only 1,277 people or 0.3% of the city's population, Edinburgh has the highest number and proportion of people of Bangladeshi descent in Scotland. Over 7,000 people were born in African countries (1.6% of the total population) and nearly 7,000 in the Americas. With the notable exception of Inner London, Edinburgh has a higher number of people born in the United States (over 3,700) than any other city in the UK. The proportion of people born outside the UK was 15.9% compared with 8% in 2001. Historical A census by the Edinburgh presbytery in 1592 recorded a population of 8,003 adults spread equally north and south of the High Street which runs along the spine of the ridge sloping down from the Castle. In the 18th and 19th centuries, the population expanded rapidly, rising from 49,000 in 1751 to 136,000 in 1831, primarily due to migration from rural areas. As the population grew, problems of overcrowding in the Old Town, particularly in the cramped tenements that lined the present day Royal Mile and the Cowgate, were exacerbated. Poor sanitary arrangements resulted in a high incidence of disease, with outbreaks of cholera occurring in 1832, 1848 and 1866. The construction of the New Town from 1767 onwards witnessed the migration of the professional and business classes from the difficult living conditions in the Old Town to the lower density, higher quality surroundings taking shape on land to the north. Expansion southwards from the Old Town saw more tenements being built in the 19th century, giving rise to Victorian suburbs such as Dalry, Newington, Marchmont and Bruntsfield. Early 20th-century population growth coincided with lower-density suburban development. As the city expanded to the south and west, detached and semi-detached villas with large gardens replaced tenements as the predominant building style. Nonetheless, the 2001 census revealed that over 55% of Edinburgh's population were still living in tenements or blocks of flats, a figure in line with other Scottish cities, but much higher than other British cities, and even central London. From the early to mid 20th century, the growth in population, together with slum clearance in the Old Town and other areas, such as Dumbiedykes, Leith, and Fountainbridge, led to the creation of new estates such as Stenhouse and Saughton, Craigmillar and Niddrie, Pilton and Muirhouse, Piershill, and Sighthill. Religion In 2018 the Church of Scotland had 20,956 members in 71 congregations in the Presbytery of Edinburgh. Its most prominent church is St Giles' on the Royal Mile, first dedicated in 1243 but believed to date from before the 12th century. Saint Giles is historically the patron saint of Edinburgh. St Cuthbert's, situated at the west end of Princes Street Gardens in the shadow of Edinburgh Castle and St Giles' can lay claim to being the oldest Christian sites in the city, though the present St Cuthbert's, designed by Hippolyte Blanc, was dedicated in 1894. Other Church of Scotland churches include Greyfriars Kirk, the Canongate Kirk, St Andrew's and St George's West Church and the Barclay Church. The Church of Scotland Offices are in Edinburgh, as is the Assembly Hall where the annual General Assembly is held. The Roman Catholic Archdiocese of St Andrews and Edinburgh has 27 parishes across the city. The Archbishop of St Andrews and Edinburgh has his official residence in Greenhill, and the diocesan offices are in nearby Marchmont. The Diocese of Edinburgh of the Scottish Episcopal Church has over 50 churches, half of them in the city. Its centre is the late-19th-century Gothic style St Mary's Cathedral in the West End's Palmerston Place. Orthodox Christianity is represented by Pan, Romanian and Russian Orthodox churches. There are several independent churches in the city, both Catholic and Protestant, including Charlotte Chapel, Carrubbers Christian Centre, Bellevue Chapel and Sacred Heart. There are also churches belonging to Quakers, Christadelphians, Seventh-day Adventists, Church of Christ, Scientist, The Church of Jesus Christ of Latter-day Saints (LDS Church) and Elim Pentecostal Church. Muslims have several places of worship across the city. Edinburgh Central Mosque, the largest Islamic place of worship, is located in Potterrow on the city's Southside, near Bristo Square. Construction was largely financed by a gift from King Fahd of Saudi Arabia and was completed in 1998. There is also an Ahmadiyya Muslim community. The first recorded presence of a Jewish community in Edinburgh dates back to the late 18th century. Edinburgh's Orthodox synagogue, opened in 1932, is in Salisbury Road and can accommodate a congregation of 2000. A Liberal Jewish congregation also meets in the city. A Sikh gurdwara and a Hindu mandir are located in Leith. The city also has a Brahma Kumaris centre in the Polwarth area. The Edinburgh Buddhist Centre, run by the Triratna Buddhist Community, formerly situated in Melville Terrace, now runs sessions at the Healthy Life Centre, Bread Street. Other Buddhist traditions are represented by groups which meet in the capital: the Community of Interbeing (followers of Thich Nhat Hanh), Rigpa, Samye Dzong, Theravadin, Pure Land and Shambala. There is a Sōtō Zen Priory in Portobello and a Theravadin Thai Buddhist Monastery in Slateford Road. Edinburgh is home to a Baháʼí community, and a Theosophical Society meets in Great King Street. Edinburgh has an Inter-Faith Association. Edinburgh has over 39 graveyards and cemeteries, many of which are listed and of historical character, including several former church burial grounds. Examples include Old Calton Burial Ground, Greyfriars Kirkyard and Dean Cemetery. Economy Edinburgh has the strongest economy of any city in the United Kingdom outside London and the highest percentage of professionals in the UK with 43% of the population holding a degree-level or professional qualification. According to the Centre for International Competitiveness, it is the most competitive large city in the United Kingdom. It also has the highest gross value added per employee of any city in the UK outside London, measuring £57,594 in 2010. It was named European Best Large City of the Future for Foreign Direct Investment and Best Large City for Foreign Direct Investment Strategy in the Financial Times fDi magazine awards 2012/13. In the 19th century, Edinburgh's economy was known for banking and insurance, publishing and printing, and brewing and distilling. Today, its economy is based mainly on financial services, scientific research, higher education, and tourism. In March 2010, unemployment in Edinburgh was comparatively low at 3.6%, and it remains consistently below the Scottish average of 4.5%. Edinburgh is the second most visited city by foreign visitors in the UK after London. Banking has been a mainstay of the Edinburgh economy for over 300 years, since the Bank of Scotland was established by an act of the Scottish Parliament in 1695. Today, the financial services industry, with its particularly strong insurance and investment sectors, and underpinned by Edinburgh-based firms such as Scottish Widows and Standard Life Aberdeen, accounts for the city being the UK's second financial centre after London and Europe's fourth in terms of equity assets. The NatWest Group (formerly Royal Bank of Scotland Group) opened new global headquarters at Gogarburn in the west of the city in October 2005. The city is home to the headquarters of Bank of Scotland, Sainsbury's Bank, Tesco Bank, and TSB Bank. Tourism is also an important element in the city's economy. As a World Heritage Site, tourists visit historical sites such as Edinburgh Castle, the Palace of Holyroodhouse and the Old and New Towns. Their numbers are augmented in August each year during the Edinburgh Festivals, which attracts 4.4 million visitors, and generates over £100m for the local economy. As the centre of Scotland's government and legal system, the public sector plays a central role in Edinburgh's economy. Many departments of the Scottish Government are in the city. Other major employers include NHS Scotland and local government administration. When the £1.3bn Edinburgh & South East Scotland City Region Deal was signed in 2018, the region's Gross Value Added (GVA) contribution to the Scottish economy was cited as £33bn, or 33% of the country's output. But the Deal's partners noted that prosperity was not evenly spread across the city region, citing 22.4% of children living in poverty and a shortage of affordable housing. Culture Festivals and celebrations Edinburgh festival The city hosts a series of festivals that run between the end of July and early September each year. The best known of these events are the Edinburgh Festival Fringe, the Edinburgh International Festival, the Edinburgh Military Tattoo, the Edinburgh Art Festival and the Edinburgh International Book Festival. The longest established of these festivals is the Edinburgh International Festival, which was first held in 1947 and consists mainly of a programme of high-profile theatre productions and classical music performances, featuring international directors, conductors, theatre companies and orchestras. This has since been overtaken in size by the Edinburgh Fringe which began as a programme of marginal acts alongside the "official" Festival and has become the world's largest performing arts festival. In 2017, nearly 3400 different shows were staged in 300 venues across the city. Comedy has become one of the mainstays of the Fringe, with numerous well-known comedians getting their first 'break' there, often by being chosen to receive the Edinburgh Comedy Award. The Edinburgh Military Tattoo, occupies the Castle Esplanade every night for three weeks each August, with massed pipe bands and military bands drawn from around the world. Performances end with a short fireworks display. As well as the summer festivals, many other festivals are held during the rest of the year, including the Edinburgh International Film Festival and Edinburgh International Science Festival. The summer of 2020 was the first time in its 70-year history that the Edinburgh festival was not run, being cancelled due to the COVID-19 pandemic. This affected many of the tourist-focused businesses in Edinburgh which depend on the various festivals over summer to return an annual profit. Edinburgh's Hogmanay The annual Edinburgh Hogmanay celebration was originally an informal street party focused on the Tron Kirk in the Old Town's High Street. Since 1993, it has been officially organised with the focus moved to Princes Street. In 1996, over 300,000 people attended, leading to ticketing of the main street party in later years up to a limit of 100,000 tickets. Hogmanay now covers four days of processions, concerts and fireworks, with the street party beginning on Hogmanay. Alternative tickets are available for entrance into the Princes Street Gardens concert and Cèilidh, where well-known artists perform and ticket holders can participate in traditional Scottish cèilidh dancing. The event attracts thousands of people from all over the world. Beltane and other festivals On the night of 30 April the Beltane Fire Festival takes place on Calton Hill, involving a procession followed by scenes inspired by pagan old spring fertility celebrations. At the beginning of October each year the Dussehra Hindu Festival is also held on Calton Hill. Music, theatre and film Outside the Festival season, Edinburgh supports several theatres and production companies. The Royal Lyceum Theatre has its own company, while the King's Theatre, Edinburgh Festival Theatre and Edinburgh Playhouse stage large touring shows. The Traverse Theatre presents a more contemporary repertoire. Amateur theatre companies productions are staged at the Bedlam Theatre, Church Hill Theatre and King's Theatre among others. The Usher Hall is Edinburgh's premier venue for classical music, as well as occasional popular music concerts. It was the venue for the Eurovision Song Contest 1972. Other halls staging music and theatre include The Hub, the Assembly Rooms and the Queen's Hall. The Scottish Chamber Orchestra is based in Edinburgh. Edinburgh has two repertory cinemas, the Edinburgh Filmhouse and The Cameo, as well as the independent Dominion Cinema and a range of multiplexes. Edinburgh has a healthy popular music scene. Occasionally large concerts are staged at Murrayfield and Meadowbank, while mid-sized events take place at smaller venues such as 'The Corn Exchange', 'The Liquid Rooms' and 'The Bongo Club'. In 2010, PRS for Music listed Edinburgh among the UK's top ten 'most musical' cities. Several city pubs are well known for their live performances of folk music. They include 'Sandy Bell's' in Forrest Road, 'Captain's Bar' in South College Street and 'Whistlebinkies' in South Bridge. Like many other cities in the UK, numerous nightclub venues host Electronic dance music events. Edinburgh is home to a flourishing group of contemporary composers such as Nigel Osborne, Peter Nelson, Lyell Cresswell, Hafliði Hallgrímsson, Edward Harper, Robert Crawford, Robert Dow and John McLeod. McLeod's music is heard regularly on BBC Radio 3 and throughout the UK. Media Newspapers The main local newspaper is the Edinburgh Evening News. It is owned and published alongside its sister titles The Scotsman and Scotland on Sunday by JPIMedia. Radio The city has two commercial radio stations: Forth 1, a station which broadcasts mainstream chart music, and Forth 2 on medium wave which plays classic hits. Capital Radio Scotland and Eklipse Sports Radio also have transmitters covering Edinburgh. Along with the UK national radio stations, Radio Scotland and the Gaelic language service BBC Radio nan Gàidheal are also broadcast. DAB digital radio is broadcast over two local multiplexes. BFBS Radio broadcasts from studios on the base at Dreghorn Barracks across the city on 98.5FM as part of its UK Bases network Television Television, along with most radio services, is broadcast to the city from the Craigkelly transmitting station situated in Fife on the opposite side of the Firth of Forth and the Black Hill transmitting station in North Lanarkshire to the west. There are no television stations based in the city. Edinburgh Television existed in the late 1990s to early 2003 and STV Edinburgh existed from 2015 to 2018. Museums, libraries and galleries Edinburgh has many museums and libraries. These include the National Museum of Scotland, the National Library of Scotland, National War Museum, the Museum of Edinburgh, Surgeons' Hall Museum, the Writers' Museum, the Museum of Childhood and Dynamic Earth. The Museum on The Mound has exhibits on money and banking. Edinburgh Zoo, covering on Corstorphine Hill, is the second most visited paid tourist attraction in Scotland, and home to two giant pandas, Tian Tian and Yang Guang, on loan from the People's Republic of China. Edinburgh is also home to The Royal Yacht Britannia, decommissioned in 1997 and now a five-star visitor attraction and evening events venue permanently berthed at Ocean Terminal. Edinburgh contains Scotland's three National Galleries of Art as well as numerous smaller art galleries. The national collection is housed in the Scottish National Gallery, located on The Mound, comprising the linked National Gallery of Scotland building and the Royal Scottish Academy building. Contemporary collections are shown in the Scottish National Gallery of Modern Art which occupies a split site at Belford. The Scottish National Portrait Gallery on Queen Street focuses on portraits and photography. The council-owned City Art Centre in Market Street mounts regular art exhibitions. Across the road, The Fruitmarket Gallery offers world-class exhibitions of contemporary art, featuring work by British and international artists with both emerging and established international reputations. The city hosts several of Scotland's galleries and organisations dedicated to contemporary visual art. Significant strands of this infrastructure include Creative Scotland, Edinburgh College of Art, Talbot Rice Gallery (University of Edinburgh), Collective Gallery (based at the City Observatory) and the Edinburgh Annuale. There are also many small private shops/galleries that provide space to showcase works from local artists. Shopping The locale around Princes Street is the main shopping area in the city centre, with souvenir shops, chain stores such as Boots the Chemist, Edinburgh Woollen Mill, H&M and Jenners. George Street, north of Princes Street, is the preferred location for some upmarket shops and independent stores. At the east end of Princes Street, the redeveloped St James Quarter opened its doors in June 2021, while next to the Balmoral Hotel and Waverley Station is the Waverley Mall. Multrees Walk, adjacent to the St. James Centre, is a recent addition to the central shopping district, dominated by the presence of Harvey Nichols. Shops here include Louis Vuitton, Mulberry and Calvin Klein. Edinburgh also has substantial retail parks outside the city centre. These include The Gyle Shopping Centre and Hermiston Gait in the west of the city, Cameron Toll Shopping Centre, Straiton Retail Park (actually just outside the city, in Midlothian) and Fort Kinnaird in the south and east, and Ocean Terminal in the north on the Leith waterfront. Governance Local government Following local government reorganisation in 1996, the City of Edinburgh Council constitutes one of the 32 council areas of Scotland. Like all other local authorities of Scotland, the council has powers over most matters of local administration such as housing, planning, local transport, parks, economic development and regeneration. The council comprises 58 elected councillors, returned from 17 multi-member electoral wards in the city. Following the 2007 City of Edinburgh Council election the incumbent Labour Party lost majority control of the council after 23 years to a Liberal Democrat/SNP coalition. The 2012 City of Edinburgh Council election saw a Scottish Labour/SNP coalition. The 2017 City of Edinburgh Council election, saw a continuation of this administration, but with the SNP as the largest party. The city's coat of arms was registered by the Lord Lyon King of Arms in 1732. Scottish Parliament Edinburgh, like all of Scotland, is represented in the Scottish Parliament, situated in the Holyrood area of the city. For electoral purposes, the city is divided into six constituencies which, along with 3 seats outside of the city, form part of the Lothian region. Each constituency elects one Member of the Scottish Parliament (MSP) by the first past the post system of election, and the region elects seven additional MSPs to produce a result based on a form of proportional representation. As of the 2016 election, the Scottish National Party have three MSPs: Ash Denham for Edinburgh Eastern, Ben Macpherson for Edinburgh Northern and Leith and Gordon MacDonald for Edinburgh Pentlands constituencies. Alex Cole-Hamilton of the Scottish Liberal Democrats represents Edinburgh Western, Daniel Johnson of the Scottish Labour Party represents Edinburgh Southern constituency, and former Leader of the Scottish Conservative Party, Ruth Davidson represents the Edinburgh Central constituency. In addition, the city is also represented by seven regional MSPs representing the Lothian electoral region: The Conservatives have three regional MSPs: Jeremy Balfour, Miles Briggs and Gordon Lindhurst, Labour have two regional MSPs: Sarah Boyack and Neil Findlay, Scottish Greens have one regional MSP: Alison Johnstone and there is one independent MSP: Andy Wightman (elected as a Scottish Green). UK Parliament Edinburgh is also represented in the House of Commons of the United Kingdom by five Members of Parliament. The city is divided into Edinburgh North and Leith, Edinburgh East, Edinburgh South, Edinburgh South West, and Edinburgh West, each constituency electing one member by the first past the post system. Edinburgh is represented by three MPs affiliated with the Scottish National Party, one Liberal Democrat MP in Edinburgh West and one Labour MP in Edinburgh South. Transport Edinburgh Airport is Scotland's busiest airport and the principal international gateway to the capital, handling over 14.7 million passengers, it was also the sixth-busiest airport in the United Kingdom by total passengers in 2019. In anticipation of rising passenger numbers, the former operator of the airport BAA outlined a draft masterplan in 2011 to provide for the expansion of the airfield and the terminal building. In June 2012, Global Infrastructure Partners purchased the airport for £807 million. The possibility of building a second runway to cope with an increased number of aircraft movements has also been mooted. Travel in Edinburgh is undertaken predominantly by bus. Lothian Buses, the successor company to Edinburgh Corporation Transport Department, operate the majority of city bus services within the city and to surrounding suburbs, with the most routes running via Princes Street. Services further afield operate from the Edinburgh Bus Station off St Andrew Square and Waterloo Place and are operated mainly by Stagecoach East Scotland, Scottish Citylink, National Express Coaches and Borders Buses. Lothian Buses also operates all of the city's branded public tour buses, night bus service and airport bus link. In 2019, Lothian Buses recorded 124.2 million passenger journeys. Edinburgh Waverley is the second-busiest railway station in Scotland, with only Glasgow Central handling more passengers. On the evidence of passenger entries and exits between April 2015 and March 2016, Edinburgh Waverley is the fifth-busiest station outside London; it is also the UK's second biggest station in terms of the number of platforms and area size. Waverley is the terminus for most trains arriving from London King's Cross and the departure point for many rail services within Scotland operated by Abellio ScotRail. To the west of the city centre lies Haymarket Station which is an important commuter stop. Opened in 2003, Edinburgh Park station serves the Gyle business park in the west of the city and the nearby Gogarburn headquarters of the Royal Bank of Scotland. The Edinburgh Crossrail route connects Edinburgh Park with Haymarket, Edinburgh Waverley and the suburban stations of Brunstane and Newcraighall in the east of the city. There are also commuter lines to South Gyle and Dalmeny, the latter serving South Queensferry by the Forth Bridges, and to Wester Hailes and Curriehill in the south-west of the city. To tackle traffic congestion, Edinburgh is now served by six park and ride sites on the periphery of the city at Sheriffhall (in Midlothian), Ingliston, Riccarton, Inverkeithing (in Fife), Newcraighall and Straiton (in Midlothian). A referendum of Edinburgh residents in February 2005 rejected a proposal to introduce congestion charging in the city. Edinburgh Trams became operational on 31 May 2014. The city had been without a tram system since Edinburgh Corporation Tramways ceased on 16 November 1956. Following parliamentary approval in 2007, construction began in early 2008. The first stage of the project was expected to be completed by July 2011 but, following delays caused by extra utility work and a long-running contractual dispute between the council and the main contractor, Bilfinger SE, the project was rescheduled. The cost of the project rose from the original projection of £545 million to £750 million in mid-2011 and some suggest it could eventually exceed £1 billion. The completed line is in length, running from Edinburgh Airport, west of the city, to its terminus at York Place in the city centre's East End. It was originally planned to continue down Leith Walk to Ocean Terminal and terminate at Newhaven. Should the original plan be taken to completion, trams will also run from Haymarket through Ravelston and Craigleith to Granton Square on the Waterfront Edinburgh. Long-term proposals envisage a line running west from the airport to Ratho and Newbridge and another connecting Granton Square to Newhaven via Lower Granton Road, thus completing the Line 1 (North Edinburgh) loop. A further line serving the south of the city has also been suggested. Lothian Buses and Edinburgh Trams are both owned and operated by Transport for Edinburgh. Despite its modern transport links, Edinburgh has been named the most congested city in the UK for the fourth year running. Education There are three universities in Edinburgh, the University of Edinburgh, Heriot-Watt University and Edinburgh Napier University. Established by royal charter in 1583, the University of Edinburgh is one of Scotland's ancient universities and is the fourth oldest in the country after St Andrews, Glasgow and Aberdeen. Originally centred on Old College the university expanded to premises on The Mound, the Royal Mile and George Square. Today, the King's Buildings in the south of the city contain most of the schools within the College of Science and Engineering. In 2002, the medical school moved to purpose built accommodation adjacent to the new Royal Infirmary of Edinburgh at Little France. The university is placed 16th in the QS World University Rankings for 2022. Heriot-Watt University is based at the Riccarton campus in the west of Edinburgh. Originally established in 1821 as the world's first mechanics' institute it was granted university status by royal charter in 1966. It has other campuses in the Scottish Borders, Orkney, United Arab Emirates and Putrajaya in Malaysia. It takes the name Heriot-Watt from Scottish inventor James Watt and Scottish philanthropist and goldsmith George Heriot. Heriot-Watt University has been named International University of the Year by The Times and Sunday Times Good University Guide 2018. In the latest Research Excellence Framework, it was ranked overall in the Top 25% of UK universities and 1st in Scotland for research impact. Edinburgh Napier University was originally founded as the Napier College which was renamed Napier Polytechnic in 1986 and gained university status in 1992. Edinburgh Napier University has campuses in the south and west of the city, including the former Merchiston Tower and Craiglockhart Hydropathic. It is home to the Screen Academy Scotland. Queen Margaret University was located in Edinburgh before it moved to a new campus just outside the city boundary on the edge of Musselburgh in 2008. Until 2012 further education colleges in the city included Jewel and Esk College (incorporating Leith Nautical College founded in 1903), Telford College, opened in 1968, and Stevenson College, opened in 1970. These have now been amalgamated to form Edinburgh College. Scotland's Rural College also has a campus in south Edinburgh. Other institutions include the Royal College of Surgeons of Edinburgh and the Royal College of Physicians of Edinburgh which were established by royal charter in 1506 and 1681 respectively. The Trustees Drawing Academy of Edinburgh, founded in 1760, became the Edinburgh College of Art in 1907. There are 18 nursery, 94 primary and 23 secondary schools administered by the City of Edinburgh Council. Edinburgh is home to The Royal High School, one of the oldest schools in the country and the world. The city also has several independent, fee-paying schools including Edinburgh Academy, Fettes College, George Heriot's School, George Watson's College, Merchiston Castle School, Stewart's Melville College and The Mary Erskine School. In 2009, the proportion of pupils attending independent schools was 24.2%, far above the Scottish national average of just over 7% and higher than in any other region of Scotland. In August 2013, the City of Edinburgh Council opened the city's first stand-alone Gaelic primary school, Bun-sgoil Taobh na Pàirce. Healthcare The main NHS Lothian hospitals serving the Edinburgh area are the Royal Infirmary of Edinburgh, which includes the University of Edinburgh Medical School, and the Western General Hospital, which has a large cancer treatment centre and nurse-led Minor Injuries Clinic. The Royal Edinburgh Hospital in Morningside specialises in mental health. The Royal Hospital for Sick Children, colloquially referred to as 'the Sick Kids', is a specialist paediatrics hospital. There are two private hospitals: Murrayfield Hospital in the west of the city and Shawfair Hospital in the south. Both are owned by Spire Healthcare. Sport Football Men's Edinburgh has three football clubs that play in the Scottish Professional Football League (SPFL): Heart of Midlothian, founded in 1874, Hibernian, founded in 1875 and Edinburgh City, founded in 1966. Heart of Midlothian and Hibernian are known locally as "Hearts" and "Hibs", respectively. Both play in the Scottish Premiership. They are the oldest city rivals in Scotland and the Edinburgh derby is one of the oldest derby matches in world football. Both clubs have won the Scottish league championship four times. Hearts have won the Scottish Cup eight times and the Scottish League Cup four times. Hibs have won the Scottish Cup and the Scottish League Cup three times each. Edinburgh City were promoted to Scottish League Two in the 2015–16 season, becoming the first club to win promotion to the SPFL via the pyramid system playoffs. Edinburgh was also home to four other former Scottish Football League clubs: the original Edinburgh City (founded in 1928), Leith Athletic, Meadowbank Thistle and St Bernard's. Meadowbank Thistle played at Meadowbank Stadium until 1995, when the club moved to Livingston and became Livingston F.C. The Scottish national team has very occasionally played at Easter Road and Tynecastle, although its normal home stadium is Hampden Park in Glasgow. St Bernard's' New Logie Green was used to host the 1896 Scottish Cup Final, the only time the match has been played outside Glasgow. The city also plays host to Lowland Football League clubs Civil Service Strollers, Edinburgh University and Spartans, as well as East of Scotland League clubs Craigroyston, Edinburgh United, Heriot-Watt University, Leith Athletic, Lothian Thistle Hutchison Vale, and Tynecastle. Women's In women's football, Hearts, Hibs and Spartans play in the SWPL 1. Hutchison Vale play in the SWPL 2. Rugby The Scotland national rugby union team and the professional Edinburgh Rugby team play at Murrayfield Stadium, which is owned by the Scottish Rugby Union and also used for other events, including music concerts. It is the largest capacity stadium in Scotland, seating 67,144 spectators. Edinburgh is also home to Scottish Premiership teams Boroughmuir RFC, Currie RFC, the Edinburgh Academicals, Heriot's Rugby Club and Watsonians RFC. The Edinburgh Academicals ground at Raeburn Place was the location of the world's first international rugby game on 27 March 1871, between Scotland and England. Rugby league is represented by the Edinburgh Eagles who play in the Rugby League Conference Scotland Division. Murrayfield Stadium has hosted the Magic Weekend where all Super League matches are played in the stadium over one weekend. Other sports The Scottish cricket team, which represents Scotland internationally, play their home matches at the Grange cricket club. The Murrayfield Racers are the latest of a succession of ice hockey clubs in the Scottish capital. Previously Edinburgh was represented by the Edinburgh Capitals (who folded in 2018), the original Murrayfield Racers (who folded in 1996) and the Edinburgh Racers. The club play their home games at the Murrayfield Ice Rink and have competed in the eleven-team professional Scottish National League (SNL) since the 2018–19 season. Next door to Murrayfield Ice Rink is a 7-sheeter dedicated curling facility where curling is played from October to March each season. Caledonia Pride are the only women's professional basketball team in Scotland. Established in 2016, the team compete in the UK wide Women's British Basketball League and play their home matches at the Oriam National Performance Centre. Edinburgh also has several men's basketball teams within the Scottish National League. Boroughmuir Blaze, City of Edinburgh Kings and Edinburgh Lions all compete in Division 1 of the National League, and Pleasance B.C. compete in Division 2. The Edinburgh Diamond Devils is a baseball club which won its first Scottish Championship in 1991 as the "Reivers." 1992 saw the team repeat the achievement, becoming the first team to do so in league history. The same year saw the start of their first youth team, the Blue Jays. The club adopted its present name in 1999. Edinburgh has also hosted national and international sports events including the World Student Games, the 1970 British Commonwealth Games, the 1986 Commonwealth Games and the inaugural 2000 Commonwealth Youth Games. For the 1970 Games the city built Olympic standard venues and facilities including Meadowbank Stadium and the Royal Commonwealth Pool. The Pool underwent refurbishment in 2012 and hosted the Diving competition in the 2014 Commonwealth Games which were held in Glasgow. In American football, the Scottish Claymores played WLAF/NFL Europe games at Murrayfield, including their World Bowl 96 victory. From 1995 to 1997 they played all their games there, from 1998 to 2000 they split their home matches between Murrayfield and Glasgow's Hampden Park, then moved to Glasgow full-time, with one final Murrayfield appearance in 2002. The city's most successful non-professional team are the Edinburgh Wolves who play at Meadowbank Stadium. The Edinburgh Marathon has been held annually in the city since 2003 with more than 16,000 runners taking part on each occasion. Its organisers have called it "the fastest marathon in the UK" due to the elevation drop of . The city also organises a half-marathon, as well as 10 km () and 5 km () races, including a race on 1 January each year. Edinburgh has a speedway team, the Edinburgh Monarchs, which, since the loss of its stadium in the city, has raced at the Lothian Arena in Armadale, West Lothian. The Monarchs have won the Premier League championship five times in their history, in 2003 and again in 2008, 2010, 2014 and 2015. Notable residents Edinburgh has a long literary tradition, which became especially evident during the Scottish Enlightenment. This heritage and the city's lively literary life in the present led to it being declared the first UNESCO City of Literature in 2004. Prominent authors who have lived in Edinburgh include the economist Adam Smith, born in Kirkcaldy and author of The Wealth of Nations, James Boswell, biographer of Samuel Johnson; Sir Walter Scott, creator of the historical novel and author of works such as Rob Roy, Ivanhoe, and Heart of Midlothian; James Hogg, author of The Private Memoirs and Confessions of a Justified Sinner; Robert Louis Stevenson, creator of Treasure Island, Kidnapped, and The Strange Case of Dr Jekyll and Mr Hyde; Sir Arthur Conan Doyle, the creator of Sherlock Holmes; Muriel Spark, author of The Prime of Miss Jean Brodie; Irvine Welsh, author of Trainspotting, whose novels are mostly set in the city and often written in colloquial Scots; Ian Rankin, author of the Inspector Rebus series of crime thrillers, Alexander McCall Smith, author of the No. 1 Ladies' Detective Agency series, and J. K. Rowling, author of Harry Potter, who wrote much of her first book in Edinburgh coffee shops and now lives in the Cramond area of the city. Scotland has a rich history of science and engineering, with Edinburgh producing a number of leading figures. John Napier, inventor of logarithms, was born in Merchiston Tower and lived and died in the city. His house now forms part of the original campus of Napier University which was named in his honour. He lies buried under St. Cuthbert's Church. James Clerk Maxwell, founder of the modern theory of electromagnetism, was born at 14 India Street (now the home of the James Clerk Maxwell Foundation) and educated at the Edinburgh Academy and the University of Edinburgh, as was the engineer and telephone pioneer Alexander Graham Bell. James Braidwood, who organised Britain's first municipal fire brigade, was also born in the city and began his career there. Other names connected with the city include Max Born, physicist and Nobel laureate; Charles Darwin, the biologist who propounded the theory of natural selection; David Hume, philosopher, economist and historian; James Hutton, regarded as the "Father of Geology"; Joseph Black, the chemist and one of the founders of thermodynamics; pioneering medical researchers Joseph Lister and James Young Simpson; chemist and discoverer of the element nitrogen Daniel Rutherford; Colin Maclaurin, mathematician and developer of the Maclaurin series, and Ian Wilmut, the geneticist involved in the cloning of Dolly the sheep just outside Edinburgh. The stuffed carcass of Dolly the sheep is now on display in the National Museum of Scotland. The latest in a long line of science celebrities associated with the city is theoretical physicist and Nobel Prizewinner Professor Emeritus Peter Higgs, born in Newcastle but resident in Edinburgh for most of his academic career, after whom the Higgs boson particle has been named. Edinburgh has been the birthplace of actors like Alastair Sim and Sir Sean Connery, known for being the first cinematic James Bond, the comedian and actor Ronnie Corbett, best known as one of The Two Ronnies, and the impressionist Rory Bremner. Famous artists from the city include the portrait painters Sir Henry Raeburn, Sir David Wilkie and Allan Ramsay. The city has produced or been home to some very successful musicians in recent decades, particularly Ian Anderson, front man of the band Jethro Tull, The Incredible String Band, the folk duo The Corries, Wattie Buchan, lead singer and founding member of punk band The Exploited, Shirley Manson, lead singer of the band Garbage, the Bay City Rollers, The Proclaimers, Boards of Canada and Idlewild. Edinburgh is the birthplace of former British Prime Minister Tony Blair who attended the city's Fettes College. Notorious criminals from Edinburgh's past include Deacon Brodie, head of a trades guild and Edinburgh city councillor by day but a burglar by night, who is said to have been the inspiration for Robert Louis Stevenson's story, the Strange Case of Dr Jekyll and Mr Hyde, and murderers Burke and Hare who delivered fresh corpses for dissection to the famous anatomist Robert Knox. Another well-known Edinburgh resident was Greyfriars Bobby. The small Skye Terrier reputedly kept vigil over his dead master's grave in Greyfriars Kirkyard for 14 years in the 1860s and 1870s, giving rise to a story of canine devotion which plays a part in attracting visitors to the city. International relations Twin towns and sister cities The City of Edinburgh has entered into 14 international twinning arrangements since 1954. Most of the arrangements are styled as Twin Cities but the agreement with Kraków is designated as a Partner City, and the agreement with Kyoto Prefecture is officially styled as a Friendship Link, reflecting its status as the only region to be twinned with Edinburgh. For a list of consulates in Edinburgh, see List of diplomatic missions in Scotland. See also Outline of Edinburgh National Archives of Scotland OPENCities Tourism in Scotland Notes References Further reading H Coghill, Edinburgh, The Old Town, John Donald, Edinburgh 1990, A Herman, How the Scots Invented the Modern World: The True Story of How Western Europe's Poorest Nation Created Our World & Everything in It, Three Rivers Press, New York, 2001, ; also published as The Scottish Enlightenment: The Scots' Invention of the Modern World, HarperCollins, London, 2001, A Massie, Edinburgh, Sinclair-Stevenson, London 1994, S Mullay, The Edinburgh Encyclopedia, Mainstream Publishing, Edinburgh and London 1996, S Mullay, The Illustrated History of Edinburgh's Suburbs, Breedon Books, Derby 2008, External links The City of Edinburgh Council official website Marketing Edinburgh official tourist agency Capital cities in the United Kingdom Council areas of Scotland Cities in Scotland Districts of Scotland Feudalism in Scotland Lieutenancy areas of Scotland Parishes of Scotland Port cities and towns in Scotland Port cities and towns of the North Sea Scottish society Populated places established in the 7th century 7th-century establishments in Europe Towns in Edinburgh council area
9623
https://en.wikipedia.org/wiki/Eugene%2C%20Oregon
Eugene, Oregon
Eugene ( ) is a city in the U.S. state of Oregon, in the Pacific Northwest. It is at the southern end of the Willamette Valley, near the confluence of the McKenzie and Willamette rivers, about east of the Oregon Coast. As of the 2010 census, Eugene had a population of 156,185; it is the county seat of Lane County and the state's third most populous city after Portland and Salem, though recent state estimates suggest its population may have surpassed Salem's. The Eugene-Springfield, Oregon metropolitan statistical area (MSA) is the 146th largest metropolitan statistical area in the US and the third-largest in the state, behind the Portland Metropolitan Area and the Salem Metropolitan Area. The city's population for 2019 was estimated to be 172,622 by the U.S. Census. Eugene is home to the University of Oregon, Bushnell University, and Lane Community College. The city is noted for its natural environment, recreational opportunities (especially bicycling, running/jogging, rafting, and kayaking), and focus on the arts, along with its history of civil unrest, protests, and green activism. Eugene's official slogan is "A Great City for the Arts and Outdoors". It is also referred to as the "Emerald City" and as "Track Town, USA". The Nike corporation had its beginnings in Eugene. In 2022, the city will host the 18th Track and Field World Championships. History Indigenous presence The first people to settle in the Eugene area were known as the Kalapuyans, also written Calapooia or Calapooya. They made "seasonal rounds," moving around the countryside to collect and preserve local foods, including acorns, the bulbs of the wapato and camas plants, and berries. They stored these foods in their permanent winter village. When crop activities waned, they returned to their winter villages and took up hunting, fishing, and trading. They were known as the Chifin Kalapuyans and called the Eugene area where they lived "Chifin", sometimes recorded as "Chafin" or "Chiffin". Other Kalapuyan tribes occupied villages that are also now within Eugene city limits. Pee-you or Mohawk Calapooians, Winefelly or Pleasant Hill Calapooians, and the Lungtum or Long Tom. They were close-neighbors to the Chifin, intermarried, and were political allies. Some authorities suggest the Brownsville Kalapuyans (Calapooia Kalapuyans) were related to the Pee-you. It is likely that since the Santiam had an alliance with the Brownsville Kalapuyans that the Santiam influence also went as far at Eugene. According to archeological evidence, the ancestors of the Kalapuyans may have been in Eugene for as long as 10,000 years. In the 1800s their traditional way of life faced significant changes due to devastating epidemics and settlement, first by French fur traders and later by an overwhelming number of American settlers. Settlement and impact French fur traders had settled seasonally in the Willamette Valley by the beginning of the 19th century. Their settlements were concentrated in the "French Prairie" community in Northern Marion County but may have extended south to the Eugene area. Having already developed relationships with Native communities through intermarriage and trade, they negotiated for land from the Kalapuyans. By 1828 to 1830 they and their Native wives began year-round occupation of the land, raising crops and tending animals. In this process, the mixed race families began to impact Native access to land, food supply, and traditional materials for trade and religious practices. In July 1830, "intermittent fever" struck the lower Columbia region and a year later, the Willamette Valley. Natives traced the arrival of the disease, then new to the Northwest, to the U.S. ship, Owyhee, captained by John Dominis. "Intermittent fever" is thought by researchers now to be malaria. According to Robert T. Boyd, an anthropologist at Portland State University, the first three years of the epidemic, "probably constitute the single most important epidemiological event in the recorded history of what would eventually become the state of Oregon". In his book The Coming of the Spirit Pestilence Boyd reports there was a 92% population loss for the Kalapuyans between 1830 and 1841. This catastrophic event shattered the social fabric of Kalapuyan society and altered the demographic balance in the Valley. This balance was further altered over the next few years by the arrival of Anglo-American settlers, beginning in 1840 with 13 people and growing steadily each year until within 20 years more than 11,000 American settlers, including Eugene Skinner, had arrived. As the demographic pressure from the settlers grew, the remaining Kalapuyans were forcibly removed to Indian reservations. Though some Natives escaped being swept into the reservation, most were moved to the Grand Ronde reservation in 1856. Strict racial segregation was enforced and mixed race people, known as Métis in French, had to make a choice between the reservation and Anglo society. Native Americans could not leave the reservation without traveling papers and white people could not enter the reservation. Eugene Franklin Skinner, after whom Eugene is named, arrived in the Willamette Valley in 1846 with 1,200 other settlers that year. Advised by the Kalapuyans to build on high ground to avoid flooding, he erected the first Anglo cabin on south or west slope of what the Kalapuyans called Ya-po-ah. The "isolated hill" is now known as Skinner's Butte. The cabin was used as a trading post and was registered as an official post office on January 8, 1850. At this time the settlement was known by Anglos as Skinner's Mudhole. It was relocated in 1853 and named Eugene City in 1853. Formally incorporated as a city in 1862, it was named simply Eugene in 1889. Skinner ran a ferry service across the Willamette River where the Ferry Street Bridge now stands. Educational institutions The first major educational institution in the area was Columbia College, founded a few years earlier than the University of Oregon. It fell victim to two major fires in four years, and after the second fire, the college decided not to rebuild again. The part of south Eugene known as College Hill was the former location of Columbia College. There is no college there today. The town raised the initial funding to start a public university, which later became the University of Oregon, with the hope of turning the small town into a center of learning. In 1872, the Legislative Assembly passed a bill creating the University of Oregon as a state institution. Eugene bested the nearby town of Albany in the competition for the state university. In 1873, community member J.H.D. Henderson donated the hilltop land for the campus, overlooking the city. The university first opened in 1876 with the regents electing the first faculty and naming John Wesley Johnson as president. The first students registered on October 16, 1876. The first building was completed in 1877; it was named Deady Hall in honor of the first Board of Regents President and community leader Judge Matthew P. Deady. Twentieth century Eugene grew rapidly throughout most of the twentieth century, with the exception being the early 1980s when a downturn in the timber industry caused high unemployment. By 1985, the industry had recovered and Eugene began to attract more high-tech industries, earning it the moniker the "Emerald Shire". In 2012, Eugene and the surrounding metro area was dubbed the Silicon shire. The first Nike shoe was used in 1972 during the US Olympic trials held in Eugene. Activism The 1970s saw an increase in community activism. Local activists stopped a proposed freeway and lobbied for the construction of the Washington Jefferson Park beneath the Washington-Jefferson Street Bridge. Community Councils soon began to form as a result of these efforts. A notable impact of the turn to community-organized politics came with Eugene Local Measure 51, a ballot measure in 1978 that repealed a gay rights ordinance approved by the Eugene City Council in 1977 that prohibited discrimination by sexual orientation. Eugene is also home to Beyond Toxics, a nonprofit environmental justice organization founded in 2000. One hotspot for protest activity since the 1990s has been the Whitaker district, located in the northwest of downtown Eugene. Whitaker is primarily a working-class neighborhood that has become a vibrant cultural hub, center of community and activism and home to alternative artists. It saw an increase of activity in the 1990s after many young people drawn to Eugene's political climate relocated there. Animal rights groups have had a heavy presence in the Whiteaker, and several vegan restaurants are located there. According to David Samuels, the Animal Liberation Front and the Earth Liberation Front have had an underground presence in the neighborhood. The neighborhood is home to a number of communal apartment buildings, which are often organized by anarchist or environmentalist groups. Local activists have also produced independent films and started art galleries, community gardens, and independent media outlets. Copwatch, Food Not Bombs, and Critical Mass are also active in the neighborhood. Geography According to the United States Census Bureau, the city has a total area of , of which is land and is water. Eugene is at an elevation of . To the north of downtown is Skinner Butte. Northeast of the city is the Coburg Hills. Spencer Butte is a prominent landmark south of the city. Mount Pisgah is southeast of Eugene and includes Mount Pisgah Arboretum and Howard Buford Recreation Area, a Lane County Park. Eugene is surrounded by foothills and forests to the south, east, and west, while to the north the land levels out into the Willamette Valley and consists of mostly farmland. The Willamette and McKenzie Rivers run through Eugene and its neighboring city, Springfield. Another important stream is Amazon Creek, whose headwaters are near Spencer Butte. The creek discharges into the Long Tom River north Fern Ridge Reservoir, maintained for winter flood control by the Army Corps of Engineers. The Eugene Yacht Club hosts a sailing school and sailing regattas at Fern Ridge during summer months. Neighborhoods Eugene has 23 neighborhood associations: Active Bethel Citizens Amazon Neighbors Association Cal Young Neighborhood Association Churchill Area Neighbors Downtown Neighborhood Association Fairmount Neighbors Association Far West Neighborhood Association Friendly Area Neighbors Goodpasture Island Neighbors Harlow Industrial Corridor Community Organization Jefferson Westside Neighbors Laurel Hill Valley Citizens Northeast Neighbors River Road Community Santa Clara Community (including Irving) South University Neighborhood Association Southeast Neighbors Southwest Hills Neighborhood Association Trainsong Neighbors West Eugene Community West University Neighbors Whiteaker Community Council Climate Like the rest of the Willamette Valley, Eugene lies in the Marine West Coast climate zone, with Mediterranean characteristics. Under the Köppen climate classification scheme, Eugene has a warm-summer Mediterranean climate (Köppen Csb). Temperatures can vary from cool to warm, with warm, dry summers and cool, wet winters. Spring and fall are also moist seasons, with light rain falling for long periods. The average rainfall is , with the wettest "rain year" being from July 1973 to June 1974 with and the driest from July 2000 to June 2001 with . Winter snowfall does occur, but it is sporadic and rarely accumulates in large amounts: the normal seasonal amount is , but the median is zero. The record snowfall was of accumulation due to a pineapple express on January 25–29, 1969. Ice storms, like snowfall, are rare, but occur sporadically. The hottest months are July and August, with a normal monthly mean temperature of , with an average of 16 days per year reaching . The coolest month is December, with a mean temperature of , and there are 53 mornings per year with a low at or below freezing, and 2.7 afternoons with highs not exceeding the freezing mark. Eugene's average annual temperature is , and annual precipitation at . Eugene is more wet and slightly cooler on average than Portland. Despite being about south and having only a slightly higher elevation, Eugene has a more continental climate, less subject to the maritime air that blows inland from the Pacific Ocean via the Columbia River. Eugene's normal annual mean minimum is , compared to in Portland; in August, the gap in the normal mean minimum widens to and for Eugene and Portland, respectively. Average winter temperatures (and summer high temperatures) are similar for the two cities. This disparity may be additionally caused by Portland's urban heat island, where the combination of black pavement and urban energy use raises nighttime temperatures. Extreme temperatures range from , recorded on December 8, 1972, to on June 27, 2021; the record cold daily maximum is , recorded on December 13, 1919, while, conversely, the record warm daily minimum is on July 22, 2006. Air quality and allergies Eugene is downwind of Willamette Valley grass seed farms. The combination of summer grass pollen and the confining shape of the hills around Eugene make it "the area of the highest grass pollen counts in the USA (>1,500 pollen grains/m3 of air)." These high pollen counts have led to difficulties for some track athletes who compete in Eugene. In the Olympic trials in 1972, "Jim Ryun won the 1,500 after being flown in by helicopter because he was allergic to Eugene's grass seed pollen." Further, six-time Olympian Maria Mutola abandoned Eugene as a training area "in part to avoid allergies". Demographics 2010 census According to the 2010 census, Eugene's population was 156,185. The population density was 3,572.2 people per square mile. There were 69,951 housing units at an average density of 1,600 per square mile. Those age 18 and over accounted for 81.8% of the total population. The racial makeup of the city was 85.8% White, 4.0% Asian, 1.4% Black or African American, 1.0% Native American, 0.2% Pacific Islander, and 4.7% from other races. Hispanics and Latinos of any race accounted for 7.8% of the total population. Of the non-Hispanics, 82% were White, 1.3% Black or African American, 0.8% Native American, 4% Asian, 0.2% Pacific Islander, 0.2% some other race alone, and 3.4% were of two or more races. Females represented 51.1% of the total population, and males represented 48.9%. The median age in the city was 33.8 years. 2000 census The census of 2000 showed there were 137,893 people, 58,110 households, and 31,321 families residing in the city of Eugene. The population density was 3,404.8 people per square mile (1,314.5/km). There were 61,444 housing units at an average density of 1,516.4 per square mile (585.5/km). The racial makeup of the city was 88.15% White, down from 99.5% in 1950, 3.57% Asian, 1.25% Black or African American, 0.93% Native American, 0.21% Pacific Islander, 2.18% from other races, and 3.72% from two or more races. 4.96% of the population were Hispanic or Latino of any race. There were 58,110 households, of which 25.8% had children under the age of 18 living with them, 40.6% were married couples living together, 9.7% had a female householder with no husband present, and 46.1% were non-families. 31.7% of all households were made up of individuals, and 9.4% had someone living alone who was 65 years of age or older. The average household size was 2.27 and the average family size was 2.87. In the city, the population was 20.3% under the age of 18, 17.3% from 18 to 24, 28.5% from 25 to 44, 21.8% from 45 to 64, and 12.1% who were 65 years of age or older. The median age was 33 years. For every 100 females, there were 96.0 males. For every 100 females age 18 and over, there were 94.0 males. The median income for a household in the city was $35,850, and the median income for a family was $48,527. Males had a median income of $35,549 versus $26,721 for females. The per capita income for the city was $21,315. About 8.7% of families and 17.1% of the population were below the poverty line, including 14.8% of those under age 18 and 7.1% of those age 65 or over. Economy Eugene's largest employers are PeaceHealth Medical Group, the University of Oregon, and the Eugene School District. Eugene's largest industries are wood products manufacturing and recreational vehicle manufacturing. Luckey's Club Cigar Store is one of the oldest bars in Oregon. Tad Luckey, Sr., purchased it in 1911, making it one of the oldest businesses in Eugene. The "Club Cigar", as it was called in the late 19th century, was for many years a men-only salon. It survived both the Great Depression and Prohibition, partly because Eugene was a "dry town" before the end of Prohibition. Corporate headquarters for the employee-owned Bi-Mart corporation and family-owned supermarket Market of Choice remain in Eugene. The city has over 25 breweries, offers a variety of dining options with a local focus; the city is surrounded by wineries. The most notable fungi here is the truffle; Eugene hosts the annual Oregon Truffle Festival in January. Organically Grown Company, the largest distributor of organic fruits and vegetables in the northwest, started in Eugene in 1978 as a non-profit co-op for organic farmers. Notable local food processors, many of whom manufacture certified organic products, include Golden Temple (Yogi Tea), Merry Hempsters and Springfield Creamery (Nancy's Yogurt & owned by the Kesey Family), and Mountain Rose Herbs. Until July 2008, Hynix Semiconductor America had operated a large semiconductor plant in west Eugene. In late September 2009, Uni-Chem of South Korea announced its intention to purchase the Hynix site for solar cell manufacturing. However, this deal fell through and as of late 2012, is no longer planned. In 2015, semiconductor manufacturer Broadcom purchased the plant with plans to upgrade and reopen it. The company abandoned these plans and put it up for sale in November 2016. The footwear repair product Shoe Goo is manufactured by Eclectic Products, based in Eugene. Run Gum, an energy gum created for runners, also began its life in Eugene. Run Gum was created by track athlete Nick Symmonds and track and field coach Sam Lapray in 2014. Burley Design LLC produces bicycle trailers and was founded in Eugene by Alan Scholz out of a Saturday Market business in 1978. Eugene is also the birthplace and home of Bike Friday bicycle manufacturer Green Gear Cycling. Many multinational businesses were launched in Eugene. Some of the most famous include Nike, Taco Time, and Brøderbund Software. In 2012, the Eugene metro region was dubbed the Silicon Shire for its growing tech industry. Top employers According to Eugene's 2017 Comprehensive Annual Financial Report, the city's top employers are: Homelessness Eugene has a growing problem with homelessness. The problem has been referenced in popular culture, including in the episode The 30% Iron Chef in Futurama. During the COVID-19 pandemic, the city experienced a controversy over its continuing policy of homeless removal, despite CDC guidelines to not engage in homeless removal. Arts and culture Eugene has a significant population of people in pursuit of alternative ideas and a large original hippie population. Beginning in the 1960s, the countercultural ideas and viewpoints espoused by Ken Kesey became established as the seminal elements of the vibrant social tapestry that continue to define Eugene. The Merry Prankster, as Kesey was known, has arguably left the most indelible imprint of any cultural icon in his hometown. He is best known as the author of One Flew Over the Cuckoo's Nest and as the male protagonist in Tom Wolfe's The Electric Kool-Aid Acid Test. In 2005, the city council unanimously approved a new slogan for the city: "World's Greatest City for the Arts & Outdoors". While Eugene has a vibrant arts community for a city its size, and is well situated near many outdoor opportunities, this slogan was frequently criticized by locals as embarrassing and ludicrous. In early 2010, the slogan was changed to "A Great City for the Arts & Outdoors." Eugene's Saturday Market, open every Saturday from April through November, was founded in 1970 as the first "Saturday Market" in the United States. It is adjacent to the Lane County Farmer's Market in downtown Eugene. All vendors must create or grow all their own products. The market reappears as the "Holiday Market" between Thanksgiving and New Year's in the Lane County Events Center at the fairgrounds. Community Eugene is noted for its "community inventiveness." Many U.S. trends in community development originated in Eugene. The University of Oregon's participatory planning process, known as The Oregon Experiment, was the result of student protests in the early 1970s. The book of the same name is a major document in modern enlightenment thinking in planning and architectural circles. The process, still used by the university in modified form, was created by Christopher Alexander, whose works also directly inspired the creation of the Wiki. Some research for the book A Pattern Language, which inspired the Design Patterns movement and Extreme Programming, was done by Alexander in Eugene. Not coincidentally, those engineering movements also had origins here. Decades after its publication, A Pattern Language is still one of the best-selling books on urban design. In the 1970s, Eugene was packed with cooperative and community projects. It still has small natural food stores in many neighborhoods, some of the oldest student cooperatives in the country, and alternative schools have been part of the school district since 1971. The old Grower's Market, downtown near the Amtrak depot, is the only food cooperative in the U.S. with no employees. It is possible to see Eugene's trend-setting non-profit tendencies in much newer projects, such as the Tango Center and the Center for Appropriate Transport. In 2006, an initiative began to create a tenant-run development process for downtown Eugene. In the fall of 2003, neighbors noticed "an unassuming two-acre remnant orchard tucked into the Friendly Area Neighborhood" had been put up for sale by its owner, a resident of New York City. Learning a prospective buyer had plans to build several houses on the property, they formed a nonprofit organization called Madison Meadow in June 2004 in order to buy the property and "preserve it as undeveloped space in perpetuity." In 2007 their effort was named Third Best Community Effort by the Eugene Weekly, and by the end of 2008 they had raised enough money to purchase the property. The City of Eugene has an active Neighborhood Program. Several neighborhoods are known for their green activism. Friendly Neighborhood has a highly popular neighborhood garden established on the right of way of a street never built. There are a number of community gardens on public property. Amazon Neighborhood has a former church turned into a community center. Whiteaker hosts a housing co-op that dates from the early 1970s that has re-purposed both their parking lots into food production and play space. An unusual eco-village with natural building techniques and large shared garden can be found in Jefferson Westside neighborhood. A several block area in the River Road Neighborhood is known as a permaculture hotspot with an increasing number of suburban homes trading grass for garden, installing rain water catchment systems, food producing landscapes and solar retrofits. Several sites have planted gardens by removing driveways. Citizen volunteers are working with the City of Eugene to restore a 65-tree filbert grove on public property. There are deepening social and economic networks in the neighborhood. Annual cultural events Asian Celebration, presented by the Asian Council of Eugene and Springfield, takes place in February at the Lane County Fairgrounds. The KLCC Microbrew Festival is held in February at the Lane County Fairgrounds. It provides participants with an introduction to a large range of microbrewery and craft beers, which play an important role in Pacific Northwest culture and the economy. Mount Pisgah Arboretum, which resides at the base of Mount Pisgah, holds a Wildflower Festival in May and a Mushroom Festival and Plant Sale in October. Oregon Festival of American Music, or OFAM is held annually in the early summer. Art and the Vineyard festival, held around the Fourth of July at Alton Baker Park, is the principal fundraiser for the Maude Kerns Art Center. The Oregon Bach Festival is a major international festival in July, hosted by the University of Oregon. The nonprofit Oregon Country Fair takes place in July in nearby Veneta. The Lane County Fair occurs in July at the Lane County Fairgrounds. The Eugene/Springfield Pride Festival is held annually on the second Saturday in August from noon to 7:00 p.m. at Alton Baker Park. A part of Eugene LGBT culture since 1993, it provides a lighthearted and supportive social venue for the LGBT community, families, and friends. Eugene Celebration is a three-day block party that usually takes place in the downtown area in August or September. The SLUG Queen coronation in August, a pageant with a campy spin, crowns a new SLUG Queen who "rains" over the Eugene Celebration Parade and is an unofficial ambassador of Eugene. Museums Eugene museums include the University of Oregon's Jordan Schnitzer Museum of Art and Museum of Natural and Cultural History, the Oregon Air and Space Museum, Lane County History Museum, Maude Kerns Art Center, Shelton McMurphey Johnson House, and the Eugene Science Center. Performing arts Eugene is home to numerous cultural organizations, including the Eugene Symphony, the Eugene Ballet, the Eugene Opera, the Eugene Concert Choir, the Bushnell University Community Choir, the Oregon Mozart Players, the Oregon Bach Festival, the Oregon Children's Choir, the Eugene-Springfield Youth Orchestras, Ballet Fantastique and Oregon Festival of American Music. Principal performing arts venues include the Hult Center for the Performing Arts, The John G. Shedd Institute for the Arts ("The Shedd"), Matthew Knight Arena, Beall Concert Hall and the Erb Memorial Union ballroom on the University of Oregon campus, the McDonald Theatre, and W.O.W. Hall. A number of live theater groups are based in Eugene, including Free Shakespeare in the Park, Oregon Contemporary Theatre, The Very Little Theatre, Actors Cabaret, LCC Theatre, Rose Children's Theatre, and University Theatre. Each has its own performance venue. Music Because of its status as a college town, Eugene has been home to many music genres, musicians and bands, ranging from electronic dance music such as dubstep and drum and bass to garage rock, hip hop, folk and heavy metal. Eugene also has a growing reggae and street-performing bluegrass and jug band scene. Multi-genre act the Cherry Poppin' Daddies became a prominent figure in Eugene's music scene and became the house band at Eugene's W.O.W. Hall. In the late 1990s, their contributions to the swing revival movement propelled them to national stardom. Rock band Floater originated in Eugene as did the Robert Cray blues band. Doom metal band YOB is among the leaders of the Eugene heavy music scene. Eugene is home to "Classical Gas" Composer and two-time Grammy award winner Mason Williams who spent his years as a youth living between his parents in Oakridge, Oregon and Oklahoma. Mason Williams puts on a yearly Christmas show at the Hult center for performing arts with a full orchestra produced by author, audio engineer and University of Oregon professor Don Latarski. Dick Hyman, noted jazz pianist and musical director for many of Woody Allen's films, designs and hosts the annual Now Hear This! jazz festival at the Oregon Festival of American Music (OFAM). OFAM and the Hult Center routinely draw major jazz talent for concerts. Eugene is also home to a large Zimbabwean music community. Kutsinhira Cultural Arts Center, which is "dedicated to the music and people of Zimbabwe," is based in Eugene. Visual arts Eugene's visual arts community is supported by over 20 private art galleries and several organizations, including Maude Kerns Art Center, Lane Arts Council, DIVA (the Downtown Initiative for the Visual Arts) and the Eugene Glass School. In 2015 installations from a group of Eugene-based artists known as Light At Play were showcased in several events around the world as part of the International Year of Light, including displays at the Smithsonian and the National Academy of Sciences. Film The Eugene area has been used as a filming location for several Hollywood films, most famously for 1978's National Lampoon's Animal House, which was also filmed in nearby Cottage Grove. John Belushi had the idea for the film The Blues Brothers during filming of Animal House when he happened to meet Curtis Salgado at what was then the Eugene Hotel. Getting Straight, starring Elliott Gould and Candice Bergen, was filmed at Lane Community College in 1969. As the campus was still under construction at the time, the "occupation scenes" were easier to shoot. The "Chicken Salad on Toast" scene in the 1970 Jack Nicholson movie Five Easy Pieces was filmed at the Denny's restaurant at the southern I-5 freeway interchange near Glenwood. Nicholson directed the 1971 film Drive, He Said in Eugene. How to Beat the High Co$t of Living, starring Jane Curtin, Jessica Lange and Susan St. James, was filmed in Eugene in the fall of 1979. Locations visible in the film include Valley River Center (which is a driving force in the plot), Skinner Butte and Ya-Po-Ah Terrace, the Willamette River and River Road Hardware. Several track and field movies have used Eugene as a setting and/or a filming location. Personal Best, starring Mariel Hemingway, was filmed in Eugene in 1982. The film centered on a group of women who are trying to qualify for the Olympic track and field team. Two track and field movies about the life of Steve Prefontaine, Prefontaine and Without Limits, were released within a year of each other in 1997–1998. Kenny Moore, Eugene-trained Olympic runner and co-star in Prefontaine, co-wrote the screenplay for Without Limits. Prefontaine was filmed in Washington because the Without Limits production bought out Hayward Field for the summer to prevent its competition from shooting there. Kenny Moore also wrote a biography of Bill Bowerman, played in Without Limits by Donald Sutherland back in Eugene 20 years after he had appeared in Animal House. Moore had also had a role in Personal Best. Stealing Time, a 2003 independent film, was partially filmed in Eugene. When the film premiered in June 2001 at the Seattle International Film Festival, it was titled Rennie's Landing after a popular bar near the University of Oregon campus. The title was changed for its DVD release. Zerophilia was filmed in Eugene in 2006. The 2016 Tracktown was about a distance runner training for the Olympics in Eugene. Religion Religious institutions of higher learning in Eugene include Bushnell University and New Hope Christian College. Bushnell University (formerly Northwest Christian University), founded in 1895, has ties with the Christian Church (Disciples of Christ). New Hope Christian College (formerly Eugene Bible College) originated with the Bible Standard Conference in 1915, which joined with Open Bible Evangelistic Association to create Open Bible Standard Churches in 1932. Eugene Bible College was started from this movement by Fred Hornshuh in 1925. There are two Eastern Orthodox Church parishes in Eugene: St John the Wonderworker Orthodox Christian Church in the Historic Whiteaker Neighborhood and Saint George Greek Orthodox Church. There are six Roman Catholic parishes in Eugene as well: St. Mary Catholic Church, St. Jude Catholic Church, St. Mark Catholic Church, St. Peter Catholic Church, St. Paul Catholic Church, and St. Thomas More Catholic Church. Eugene also has a Ukrainian Catholic Church named Nativity of the Mother of God. There is a mainline Protestant contingency in the city as well—such as the largest of the Lutheran Churches, Central Lutheran near the U of O Campus and the Episcopal Church of the Resurrection. The Eugene area has a sizeable LDS Church presence, with three stakes, consisting of 23 congregations (wards and branches). The Church of Jesus Christ announced plans in April 2020 to build a temple in Eugene. The greater Eugene-Springfield area also has a Jehovah's Witnesses presence with five Kingdom Halls, several having multiple congregations in one Kingdom Hall. The Reconstructionist Temple Beth Israel is Eugene's largest Jewish congregation. It was also, for many decades, Eugene's only synagogue, until Orthodox members broke away in 1992 and formed "Congregation Ahavas Torah". Eugene has a community of some 140 Sikhs, who have established a Sikh temple. The 340-member congregation of the Unitarian Universalist Church in Eugene (UUCE) purchased the former Eugene Scottish Rite Temple in May 2010, renovated it, and began services there in September 2012. Saraha Nyingma Buddhist Temple in Eugene opened in 2012 in the former site of the Unitarian Universalist Church. The First Congregational Church, UCC is a large progressive Christian Church with a long history of justice focused ministries and a very active membership. Three years ago, the congregation coordinated with the Connections Program of the St Vincent DePaul organization to provide transitional homes for two unhoused families on the church's property. Through life - skills support and training and a more stable housing situation these families are then able to make their way into independent living. Sports Eugene's Oregon Ducks are part of the Pac-12 Conference (Pac-12). American football is especially popular, with intense rivalries between the Ducks and both the Oregon State University Beavers and the University of Washington Huskies. Autzen Stadium is home to Duck football, with a seating capacity of 54,000 but has had over 60,000 with standing room only. The basketball arena, McArthur Court, was built in 1926. The arena was replaced by the Matthew Knight Arena in late 2010. For nearly 40 years, Eugene has been the "Track and Field Capital of the World." Oregon's most famous track icon is the late world-class distance runner Steve Prefontaine, who was killed in a car crash in 1975. Eugene's jogging trails include Pre's Trail in Alton Baker Park, Rexius Trail, the Adidas Oregon Trail, and the Ridgeline Trail. Jogging was introduced to the U.S. through Eugene, brought from New Zealand by Bill Bowerman, who wrote the best-selling book "Jogging", and coached the champion University of Oregon track and cross country teams. During Bowerman's tenure, his "Men of Oregon" won 24 individual NCAA titles, including titles in 15 out of the 19 events contested. During Bowerman's 24 years at Oregon, his track teams finished in the top ten at the NCAA championships 16 times, including four team titles (1962, '64, '65, '70), and two second-place trophies. His teams also posted a dual meet record of 114–20. Bowerman also invented the waffle sole for running shoes in Eugene, and with Oregon alumnus Phil Knight founded shoe giant Nike. Eugene's miles of running trails, through its unusually large park system, are the most extensive in the U.S. The city has dozens of running clubs. The climate is cool and temperate, good both for jogging and record-setting. Eugene is home to the University of Oregon's Hayward Field track, which hosts numerous collegiate and amateur track and field meets throughout the year, most notably the Prefontaine Classic. Hayward Field was host to the 2004 AAU Junior Olympic Games, the 1989 World Masters Athletics Championships, the track and field events of the 1998 World Masters Games, the 2006 Pacific-10 track and field championships, the 1971, 1975, 1986, 1993, 1999, 2001, 2009, and 2011 USA Track & Field Outdoor Championships and the 1972, 1976, 1980, 2008, 2012, and 2016 U.S. Olympic trials. On April 16, 2015, it was announced by the IAAF that Eugene had been awarded the right to host the 2021 World Athletics Championships. The city bid for the 2019 event but lost narrowly to Doha, Qatar. Eugene is also home to the Eugene Emeralds, a short-season Class A minor-league baseball team. The "Ems" play their home games in PK Park, also the home of the University of Oregon baseball team. The Nationwide Tour's golfing event Oregon Classic takes place at Shadow Hills Country Club, just north of Eugene. The event has been played every year since 1998, except in 2001 when it was slated to begin the day after the 9/11 terrorist attacks. The top 20 players from the Nationwide Tour are promoted to the PGA Tour for the following year. The Eugene Jr. Generals, a Tier III Junior "A" ice hockey team belonging to the Northern Pacific Hockey League (NPHL) consisting of 8 teams throughout Oregon and Washington, plays at the Lane County Ice Center. Lane United FC, a soccer club that participates in the Northwest Division of USL League Two, was founded in 2013 and plays its home games at Civic Park. The following table lists some sports clubs in Eugene and their usual home venue: Parks and recreation Spencer Butte Park at the southern edge of town provides access to Spencer Butte, a dominant feature of Eugene's skyline. Hendricks Park, situated on a knoll to the east of downtown, is known for its rhododendron garden and nearby memorial to Steve Prefontaine, known as Pre's Rock, where the legendary University of Oregon runner was killed in an auto accident. Alton Baker Park, next to the Willamette River, contains Pre's Trail. Also next to the Willamette are Skinner Butte Park and the Owen Memorial Rose Garden, which contains more than 4,500 roses of over 400 varieties, as well as the 150-year-old Black Tartarian Cherry tree, an Oregon Heritage Tree. The city of Eugene maintains an urban forest. The University of Oregon campus is an arboretum, with over 500 species of trees. The city operates and maintains scenic hiking trails that pass through and across the ridges of a cluster of hills in the southern portion of the city, on the fringe of residential neighborhoods. Some trails allow biking, and others are for hikers and runners only. The nearest ski resort, Willamette Pass, is one hour from Eugene by car. On the way, along Oregon Route 58, are several reservoirs and lakes, the Oakridge mountain bike trails, hot springs, and waterfalls within Willamette National Forest. Eugene residents also frequent the Hoodoo and Mount Bachelor ski resorts. The Three Sisters Wilderness, the Oregon Dunes National Recreation Area, and Smith Rock are just a short drive away. Government In 1944, Eugene adopted a council–manager form of government, replacing the day-to-day management of city affairs by the part-time mayor and volunteer city council with a full-time professional city manager. The subsequent history of Eugene city government has largely been one of the dynamics—often contentious—between the city manager, the mayor and city council. According to statute, all Eugene and Lane County elections are officially non-partisan, with a primary containing all candidates in May. If a candidate gets more than 50% of the vote in the primary, they win the election outright, otherwise the top two candidates face off in a November runoff. This allows candidates to win seats during the lower-turnout primary election. The mayor of Eugene is Lucy Vinis, who has been in office since winning the popular vote in May 2016, and who was re-elected in May 2020. Recent mayors include Edwin Cone (1958–69), Les Anderson (1969–77) Gus Keller (1977–84), Brian Obie (1985–88), Jeff Miller (1989–92), Ruth Bascom (1993–96), Jim Torrey (1997–2004) and Kitty Piercy (2005-2017). Eugene City Council Mayor: Lucy Vinis Ward 1 – Emily Semple Ward 2 – Matt Keating Ward 3 – Alan Zelenka Ward 4 – Jennifer Yeh Ward 5 – Mike Clark Ward 6 – Greg Evans Ward 7 – Claire Syrett Ward 8 – Randy Groves Public safety The Eugene Police Department is the city's law enforcement and public safety agency. The Lane County Sheriff's Office also has its headquarters in Eugene. The University of Oregon is served by the University of Oregon Police Department, and Eugene Police Department also has a police station in the West University District near campus. Lane Community College is served by the Lane Community College Public Safety Department. The Oregon State Police have a presence in the rural areas and highways around the Eugene metro area. The LTD downtown station, and the EmX lines are patrolled by LTD Transit Officers. Since 1989 the mental health crisis intervention non-governmental agency CAHOOTS has responded to Eugene's mental health 911 calls. Eugene-Springfield Fire Department is the agency responsible for emergency medical services, fire suppression, HAZMAT operations and water/Confined spaces rescues in the combined Eugene-Springfield metropolitan area. Eugene used to have an ordinance which prohibited car horn usage for non-driving purposes. After several residents were cited for this offense during the anti-Gulf War demonstrations in January 1991, the city was taken to court and in 1992 the Oregon Court of Appeals overturned the ordinance, finding it unconstitutionally vague. Eugene City Hall was abandoned in 2012 for reasons of structural integrity, energy efficiency, and obsolete size. Various offices of city government became tenants in eight other buildings. Politics As the biggest city by far in Lane County, Eugene's voters almost always single-handedly decide the partisan tilt and the margins. While Eugene has always been a counter-culture-heavy and liberal college town, the last two decades have seen that etched into stone as a reliable Democratic voting bloc due to Oregon's voters polarizing via an urban-Democratic/rural-Republican split. Lane County voted for Bernie Sanders over eventual 2016 nominee Hillary Clinton at an overall 60.6-38.1% margin with an even higher Sanders margin within Eugene city limits. Education Eugene is home to the University of Oregon. Other institutions of higher learning include Northwest Christian University, Lane Community College, New Hope Christian College, Gutenberg College, and Pacific University's Eugene campus. Schools The Eugene School District includes four full-service high schools (Churchill, North Eugene, Sheldon, and South Eugene) and many alternative education programs, such as international schools and charter schools. Foreign language immersion programs in the district are available in Spanish, French, Chinese, and Japanese. The Bethel School District serves children in the Bethel neighborhood on the northwest edge of Eugene. The district is home to the traditional Willamette High School and the alternative Kalapuya High School. There are 11 schools in this district. Eugene also has several private schools, including the Eugene Waldorf School, the Outdoor High School, Eugene Montessori, Far Horizon Montessori, Eugene Sudbury School, Wellsprings Friends School, Oak Hill School, and The Little French School. Parochial schools in Eugene include Marist Catholic High School, O'Hara Catholic Elementary School, Eugene Christian School, and St. Paul Parish School. Libraries The largest library in Oregon is the University of Oregon's Knight Library, with collections totaling more than 3 million volumes and over 100,000 audio and video items. The Eugene Public Library moved into a new, larger building downtown in 2002. The four-story library is an increase from . There are also two branches of the Eugene Public Library, the Sheldon Branch Library in the neighborhood of Cal Young/Sheldon, and the Bethel Branch Library, in the neighborhood of Bethel. Eugene also has the Lane County Law Library. Media Print The largest newspaper serving the area is The Register-Guard, a daily newspaper with a circulation of about 70,000, published independently by the Baker family of Eugene until 2018, before being acquired by GateHouse Media. Other newspapers serving the area include the Eugene Weekly, the Emerald, the student-run independent newspaper at the University of Oregon, now published on Mondays and Thursdays;The Torch, the student-run newspaper at Lane Community College, the Ignite, the newspaper at New Hope Christian College and The Beacon Bolt, the student-run newspaper at Bushnell University. Eugene Magazine, Lifestyle Quarterly, Eugene Living, and Sustainable Home and Garden magazines also serve the area. Adelante Latino is a Spanish language newspaper in Eugene that serves all of Lane County. Television Local television stations include KMTR (NBC), KVAL (CBS), KLSR-TV (Fox), KEVU-CD, KEZI (ABC), KEPB (PBS), and KTVC (independent). KEZI (Channel 9) (ABC) KVAL (Channel 13) (CBS) KMTR (Channel 16) (NBC) KEVU-CD (Channel 23) KEPB (Channel 28) (PBS) KLSR (Channel 34) (Fox) KTVC (Channel 36) (Independent) KHWB-LD (Channel 38) (TBN) Radio The local NPR affiliates are KOPB, and KLCC. Radio station KRVM-AM is an affiliate of Jefferson Public Radio, based at Southern Oregon University. The Pacifica Radio affiliate is the University of Oregon student-run radio station, KWVA. Additionally, the community supports two other radio stations: KWAX (classical) and KRVM-FM (alternative). AM Stations KOAC 550 Corvallis – NPR News/Talk (Oregon Public Broadcasting) KUGN 590 Eugene – NEWS/TALK (Cumulus) KXOR 660 Junction City – Spanish Religious (Zion Media) KKNX 840 Eugene – Classic Hits (Mielke Broadcasting) KORE 1050 Springfield – FOX Sports Radio KPNW 1120 Eugene – NEWS/TALK (Bicostal Media) KRVM 1280 Eugene – NPR News/Talk (Eugene School District) (JPR affiliate) KNND 1400 Cottage Grove – Classic Country (Reiten Communications Inc) KEED 1450 Eugene – Classic Country (Mielke Broadcasting) KOPB 1600 Eugene – NPR News/Talk (Oregon Public Broadcasting) FM Stations KWVA 88.1 Eugene – Freeform (University of Oregon) KPIJ 88.5 Junction City – Christian (Calvary Satellite Network) (Calvary Chapel) KQFE 88.9 Springfield – Christian (Family Radio) KLCC 89.7 Eugene – NPR News/Talk/Jazz (Lane Community College) KWAX 91.1 Eugene – Classical (University of Oregon) KRVM 91.9 Eugene – Adult Album Alternative (AAA) (Eugene School District) KKNU 93.3 Springfield – Country (McKenzie River Broadcasting) KMGE 94.5 Eugene – Adult Contemporary (McKenzie River Broadcasting) KUJZ 95.3 Creswell – Sports (Cumulus) KZEL 96.1 Eugene – Classic Rock (Cumulus) KEPW-LP 97.3 Eugene - PeaceWorks Community Radio (Eugene PeaceWorks) KEQB 97.7 Coburg - Regional Mexican (McKenzie River Broadcasting) KODZ 99.1 Eugene – Classic Hits (Bicoastal Media) KRKT 99.9 Albany – Country (Bicoastal Media) KMME 100.5 Cottage Grove – Catholic Program (Catholic Radio Northwest) KFLY 101.5 Corvallis - Country (Bicoastal Media) KEHK 102.3 Brownsville – Hot Adult Contemporary (Cumulus) KNRQ 103.7 Harrisburg – Alternative Rock (Cumulus) KDUK 104.7 Florence – Top 40 (CHR) (Bicoastal Media) KEUG 105.5 Veneta – Adult Hits (McKenzie River Broadcasting) KLOO 106.3 Corvallis – Classic Rock (Bicoastal Media) KLVU 107.1 Sweet Home – Contemporary Christian Music (K-LOVE) Educational Media Foundation KHPE 107.9 Albany – Contemporary Christian Music (Extra Mile Media) Infrastructure Transportation Bus Lane Transit District (LTD), a public transportation agency formed in 1970, covers of Lane County, including Creswell, Cottage Grove, Junction City, Veneta, and Blue River. Operating more than 90 buses during peak hours, LTD carries riders on 3.7 million trips every year. LTD also operates a bus rapid transit line that runs between Eugene and Springfield—Emerald Express (EmX)—much of which runs in its own lane, with stations providing for off-board fare payment. LTD's main terminus in Eugene is at the Eugene Station. LTD also offers paratransit. Greyhound Lines provides service between Los Angeles and Portland on the I-5 corridor. Cycling Cycling is popular in Eugene and many people commute via bicycle. Summertime events and festivals frequently have bike parking "corrals" that are often filled to capacity by three hundred or more bikes. Many people commute to work by bicycle every month of the year. Bike trails take commuting and recreational bikers along the Willamette River past a scenic rose garden, along Amazon Creek, through the downtown, and through the University of Oregon campus. Eugene is close to many popular mountain bike trails, and Disciples of Dirt is the local mountain bike club that organizes group rides and promotes trail stewardship. In 2009, the League of American Bicyclists cited Eugene as 1 of 10 "Gold-level" cities in the U.S. because of its "remarkable commitments to bicycling." In 2010, Bicycling magazine named Eugene the 5th most bike-friendly city in America. The U.S. Census Bureau's annual American Community Survey reported that Eugene had a bicycle commuting mode share of 7.3% in 2011, the fifth highest percentage nationwide among U.S. cities with 65,000 people or more, and 13 times higher than the national average of 0.56%. Rail The 1908 Amtrak depot downtown was restored in 2004; it is the southern terminus for two daily runs of the Amtrak Cascades, and a stop along the route in each direction for the daily Coast Starlight. Air travel Air travel is served by the Eugene Airport, also known as Mahlon Sweet Field, which is the fifth largest airport in the Northwest and second largest airport in Oregon. The Eugene Metro area also has numerous private airports. The Eugene Metro area also has several heliports, such as the Sacred Heart Medical Center Heliport and Mahlon Sweet Field Heliport, and many single helipads. Highways Highways traveling within and through Eugene include: Interstate 5: Interstate 5 forms much of the eastern city limit, acting as an effective, though unofficial boundary between Eugene and Springfield. To the north, I-5 leads to the Willamette Valley and Portland. To the south, I-5 leads to Roseburg, Medford, and the southwestern portion of the state. In full, Interstate 5 continues north to the Canada–US border at Blaine, Washington and Vancouver, British Columbia and extends south to the Mexico–US border at Tijuana and San Diego. Officer Chris Kilcullen Memorial Highway: Oregon Route 126 is routed along the Eugene-Springfield Highway, a limited-access freeway. The Eugene portion of this highway begins at an interchange with Interstate 5 and ends two miles (3 km) west at a freeway terminus. This portion of Oregon Route 126 is also signed Interstate 105, a spur route of Interstate 5. Oregon Route 126 continues west, a portion shared with Oregon Route 99, and continues west to Florence. Eastward, Oregon Route 126 crosses the Cascades and leads to central and eastern Oregon. Randy Papé Beltline: Beltline is a limited-access freeway which runs along the northern and western edges of incorporated Eugene. Delta Highway: The Delta Highway forms a connector of less than between Interstate 105 and Beltline Highway. Oregon Route 99: Oregon Route 99 forks off Interstate 5 south of Eugene, and forms a major surface artery in Eugene. It continues north into the Willamette valley, parallel to I-5. It is sometimes called the "scenic route" since it has a great view of the Coast Range and also stretches through many scenic farmlands of the Willamette Valley. Utilities Eugene is the home of Oregon's largest publicly owned water and power utility, the Eugene Water & Electric Board (EWEB). EWEB got its start in the first decade of the 20th century, after an epidemic of typhoid found in the groundwater supply. The City of Eugene condemned Eugene's private water utility and began treating river water (first the Willamette; later the McKenzie) for domestic use. EWEB got into the electric business when power was needed for the water pumps. Excess electricity generated by the EWEB's hydropower plants was used for street lighting. Natural gas service is provided by NW Natural. Wastewater treatment services are provided by the Metropolitan Wastewater Management Commission, a partnership between the Cities of Eugene and Springfield and Lane County. Healthcare Three hospitals serve the Eugene-Springfield area. Sacred Heart Medical Center University District is the only one within Eugene city limits. McKenzie-Willamette Medical Center and Sacred Heart Medical Center at RiverBend are in Springfield. Oregon Medical Group, a primary care based multi-specialty group, operates several clinics in Eugene, as does PeaceHealth Medical Group. White Bird Clinic provides a broad range of health and human services, including low-cost clinics. The Volunteers in Medicine & Occupy Medical clinics provide free medical and mental care to low-income adults without health insurance. Eugene is one of the few municipalities in the US that does not fluoridate its water supply. In popular culture The DC Vertigo comic book series iZombie is set in Eugene. Eugene is mentioned in The Simpsons episode Margical History Tour and the Futurama episode The 30% Iron Chef. Eugene is one of the many U.S. cities listed at the end of "April 29, 1992 (Miami)" by the ska punk band Sublime. Notable people Sister cities Eugene has four sister cities: Irkutsk, Russia Jinju, South Korea Kakegawa, Japan Kathmandu, Nepal See also Notes References Further reading Stan Bettis, Market Days; An Informal History of the Eugene Producers' Public Market. Eugene, OR: Lane Pomona Grange Fraternal Society, 1969. External links Official website Entry for Eugene in the Oregon Blue Book Eugene Register-Guard, Google news archive. —PDFs for 35,126 issues, dating from 1867 through 2008. Cities in Oregon Cities in Lane County, Oregon Willamette Valley County seats in Oregon Track and field in the United States Populated places established in 1846 Hippie movement 1846 establishments in Oregon Country Populated places on the Willamette River Sundown towns in the United States
9703
https://en.wikipedia.org/wiki/Evolutionary%20psychology
Evolutionary psychology
Evolutionary psychology is a theoretical approach in the social and natural sciences that examines psychological structure from a modern evolutionary perspective. It seeks to identify which human psychological traits are evolved adaptations – that is, the functional products of natural selection or sexual selection in human evolution. Adaptationist thinking about physiological mechanisms, such as the heart, lungs, and immune system, is common in evolutionary biology. Some evolutionary psychologists apply the same thinking to psychology, arguing that the modularity of mind is similar to that of the body and with different modular adaptations serving different functions. These evolutionary psychologists argue that much of human behavior is the output of psychological adaptations that evolved to solve recurrent problems in human ancestral environments. Evolutionary psychology is not simply a subdiscipline of psychology—its evolutionary theory can provide a foundational, metatheoretical framework that integrates the entire field of psychology in the same way evolutionary biology has for biology. Evolutionary psychologists hold that behaviors or traits that occur universally in all cultures are good candidates for evolutionary adaptations including the abilities to infer others' emotions, discern kin from non-kin, identify and prefer healthier mates, and cooperate with others. Findings have been made regarding human social behaviour related to infanticide, intelligence, marriage patterns, promiscuity, perception of beauty, bride price, and parental investment. The theories and findings of evolutionary psychology have applications in many fields, including economics, environment, health, law, management, psychiatry, politics, and literature. Criticism of evolutionary psychology involves questions of testability, cognitive and evolutionary assumptions (such as modular functioning of the brain, and large uncertainty about the ancestral environment), importance of non-genetic and non-adaptive explanations, as well as political and ethical issues due to interpretations of research results. Scope Principles Evolutionary psychology is an approach that views human nature as the product of a universal set of evolved psychological adaptations to recurring problems in the ancestral environment. Proponents suggest that it seeks to integrate psychology into the other natural sciences, rooting it in the organizing theory of biology (evolutionary theory), and thus understanding psychology as a branch of biology. Anthropologist John Tooby and psychologist Leda Cosmides note: Evolutionary psychology is the long-forestalled scientific attempt to assemble out of the disjointed, fragmentary, and mutually contradictory human disciplines a single, logically integrated research framework for the psychological, social, and behavioral sciences – a framework that not only incorporates the evolutionary sciences on a full and equal basis, but that systematically works out all of the revisions in existing belief and research practice that such a synthesis requires. Just as human physiology and evolutionary physiology have worked to identify physical adaptations of the body that represent "human physiological nature," the purpose of evolutionary psychology is to identify evolved emotional and cognitive adaptations that represent "human psychological nature." According to Steven Pinker, it is "not a single theory but a large set of hypotheses" and a term that "has also come to refer to a particular way of applying evolutionary theory to the mind, with an emphasis on adaptation, gene-level selection, and modularity." Evolutionary psychology adopts an understanding of the mind that is based on the computational theory of mind. It describes mental processes as computational operations, so that, for example, a fear response is described as arising from a neurological computation that inputs the perceptional data, e.g. a visual image of a spider, and outputs the appropriate reaction, e.g. fear of possibly dangerous animals. Under this view, any domain-general learning is impossible because of the combinatorial explosion. Evolutionary Psychology specifies the domain as the problems of survival and reproduction. While philosophers have generally considered the human mind to include broad faculties, such as reason and lust, evolutionary psychologists describe evolved psychological mechanisms as narrowly focused to deal with specific issues, such as catching cheaters or choosing mates. The discipline views the human brain as comprising many functional mechanisms called psychological adaptations or evolved cognitive mechanisms or cognitive modules, designed by the process of natural selection. Examples include language-acquisition modules, incest-avoidance mechanisms, cheater-detection mechanisms, intelligence and sex-specific mating preferences, foraging mechanisms, alliance-tracking mechanisms, agent-detection mechanisms, and others. Some mechanisms, termed domain-specific, deal with recurrent adaptive problems over the course of human evolutionary history. Domain-general mechanisms, on the other hand, are proposed to deal with evolutionary novelty. Evolutionary psychology has roots in cognitive psychology and evolutionary biology but also draws on behavioral ecology, artificial intelligence, genetics, ethology, anthropology, archaeology, biology, and zoology. It is closely linked to sociobiology, but there are key differences between them including the emphasis on domain-specific rather than domain-general mechanisms, the relevance of measures of current fitness, the importance of mismatch theory, and psychology rather than behavior. Nikolaas Tinbergen's four categories of questions can help to clarify the distinctions between several different, but complementary, types of explanations. Evolutionary psychology focuses primarily on the "why?" questions, while traditional psychology focuses on the "how?" questions. Premises Evolutionary psychology is founded on several core premises. The brain is an information processing device, and it produces behavior in response to external and internal inputs. The brain's adaptive mechanisms were shaped by natural and sexual selection. Different neural mechanisms are specialized for solving problems in humanity's evolutionary past. The brain has evolved specialized neural mechanisms that were designed for solving problems that recurred over deep evolutionary time, giving modern humans stone-age minds. Most contents and processes of the brain are unconscious; and most mental problems that seem easy to solve are actually extremely difficult problems that are solved unconsciously by complicated neural mechanisms. Human psychology consists of many specialized mechanisms, each sensitive to different classes of information or inputs. These mechanisms combine to produce manifest behavior. History Evolutionary psychology has its historical roots in Charles Darwin's theory of natural selection. In The Origin of Species, Darwin predicted that psychology would develop an evolutionary basis: Two of his later books were devoted to the study of animal emotions and psychology; The Descent of Man, and Selection in Relation to Sex in 1871 and The Expression of the Emotions in Man and Animals in 1872. Darwin's work inspired William James's functionalist approach to psychology. Darwin's theories of evolution, adaptation, and natural selection have provided insight into why brains function the way they do. The content of evolutionary psychology has derived from, on the one hand, the biological sciences (especially evolutionary theory as it relates to ancient human environments, the study of paleoanthropology and animal behavior) and, on the other, the human sciences, especially psychology. Evolutionary biology as an academic discipline emerged with the modern synthesis in the 1930s and 1940s. In the 1930s the study of animal behavior (ethology) emerged with the work of the Dutch biologist Nikolaas Tinbergen and the Austrian biologists Konrad Lorenz and Karl von Frisch. W.D. Hamilton's (1964) papers on inclusive fitness and Robert Trivers's (1972) theories on reciprocity and parental investment helped to establish evolutionary thinking in psychology and the other social sciences. In 1975, Edward O. Wilson combined evolutionary theory with studies of animal and social behavior, building on the works of Lorenz and Tinbergen, in his book Sociobiology: The New Synthesis. In the 1970s, two major branches developed from ethology. Firstly, the study of animal social behavior (including humans) generated sociobiology, defined by its pre-eminent proponent Edward O. Wilson in 1975 as "the systematic study of the biological basis of all social behavior" and in 1978 as "the extension of population biology and evolutionary theory to social organization." Secondly, there was behavioral ecology which placed less emphasis on social behavior; it focused on the ecological and evolutionary basis of animal and human behavior. In the 1970s and 1980s university departments began to include the term evolutionary biology in their titles. The modern era of evolutionary psychology was ushered in, in particular, by Donald Symons' 1979 book The Evolution of Human Sexuality and Leda Cosmides and John Tooby's 1992 book The Adapted Mind. David Buller observed that the term "evolutionary psychology" is sometimes seen as denoting research based on the specific methodological and theoretical commitments of certain researchers from the Santa Barbara school (University of California), thus some evolutionary psychologists prefer to term their work "human ecology", "human behavioural ecology" or "evolutionary anthropology" instead. From psychology there are the primary streams of developmental, social and cognitive psychology. Establishing some measure of the relative influence of genetics and environment on behavior has been at the core of behavioral genetics and its variants, notably studies at the molecular level that examine the relationship between genes, neurotransmitters and behavior. Dual inheritance theory (DIT), developed in the late 1970s and early 1980s, has a slightly different perspective by trying to explain how human behavior is a product of two different and interacting evolutionary processes: genetic evolution and cultural evolution. DIT is seen by some as a "middle-ground" between views that emphasize human universals versus those that emphasize cultural variation. Theoretical foundations The theories on which evolutionary psychology is based originated with Charles Darwin's work, including his speculations about the evolutionary origins of social instincts in humans. Modern evolutionary psychology, however, is possible only because of advances in evolutionary theory in the 20th century. Evolutionary psychologists say that natural selection has provided humans with many psychological adaptations, in much the same way that it generated humans' anatomical and physiological adaptations. As with adaptations in general, psychological adaptations are said to be specialized for the environment in which an organism evolved, the environment of evolutionary adaptedness. Sexual selection provides organisms with adaptations related to mating. For male mammals, which have a relatively high maximal potential reproduction rate, sexual selection leads to adaptations that help them compete for females. For female mammals, with a relatively low maximal potential reproduction rate, sexual selection leads to choosiness, which helps females select higher quality mates. Charles Darwin described both natural selection and sexual selection, and he relied on group selection to explain the evolution of altruistic (self-sacrificing) behavior. But group selection was considered a weak explanation, because in any group the less altruistic individuals will be more likely to survive, and the group will become less self-sacrificing as a whole. In 1964, William D. Hamilton proposed inclusive fitness theory, emphasizing a gene-centered view of evolution. Hamilton noted that genes can increase the replication of copies of themselves into the next generation by influencing the organism's social traits in such a way that (statistically) results in helping the survival and reproduction of other copies of the same genes (most simply, identical copies in the organism's close relatives). According to Hamilton's rule, self-sacrificing behaviors (and the genes influencing them) can evolve if they typically help the organism's close relatives so much that it more than compensates for the individual animal's sacrifice. Inclusive fitness theory resolved the issue of how altruism can evolve. Other theories also help explain the evolution of altruistic behavior, including evolutionary game theory, tit-for-tat reciprocity, and generalized reciprocity. These theories help to explain the development of altruistic behavior, and account for hostility toward cheaters (individuals that take advantage of others' altruism). Several mid-level evolutionary theories inform evolutionary psychology. The r/K selection theory proposes that some species prosper by having many offspring, while others follow the strategy of having fewer offspring but investing much more in each one. Humans follow the second strategy. Parental investment theory explains how parents invest more or less in individual offspring based on how successful those offspring are likely to be, and thus how much they might improve the parents' inclusive fitness. According to the Trivers–Willard hypothesis, parents in good conditions tend to invest more in sons (who are best able to take advantage of good conditions), while parents in poor conditions tend to invest more in daughters (who are best able to have successful offspring even in poor conditions). According to life history theory, animals evolve life histories to match their environments, determining details such as age at first reproduction and number of offspring. Dual inheritance theory posits that genes and human culture have interacted, with genes affecting the development of culture, and culture, in turn, affecting human evolution on a genetic level (see also the Baldwin effect). Evolved psychological mechanisms Evolutionary psychology is based on the hypothesis that, just like hearts, lungs, livers, kidneys, and immune systems, cognition has a functional structure that has a genetic basis, and therefore has evolved by natural selection. Like other organs and tissues, this functional structure should be universally shared amongst a species and should solve important problems of survival and reproduction. Evolutionary psychologists seek to understand psychological mechanisms by understanding the survival and reproductive functions they might have served over the course of evolutionary history. These might include abilities to infer others' emotions, discern kin from non-kin, identify and prefer healthier mates, cooperate with others and follow leaders. Consistent with the theory of natural selection, evolutionary psychology sees humans as often in conflict with others, including mates and relatives. For instance, a mother may wish to wean her offspring from breastfeeding earlier than does her infant, which frees up the mother to invest in additional offspring. Evolutionary psychology also recognizes the role of kin selection and reciprocity in evolving prosocial traits such as altruism. Like chimpanzees and bonobos, humans have subtle and flexible social instincts, allowing them to form extended families, lifelong friendships, and political alliances. In studies testing theoretical predictions, evolutionary psychologists have made modest findings on topics such as infanticide, intelligence, marriage patterns, promiscuity, perception of beauty, bride price and parental investment. Historical topics Proponents of evolutionary psychology in the 1990s made some explorations in historical events, but the response from historical experts was highly negative and there has been little effort to continue that line of research. Historian Lynn Hunt says that the historians complained that the researchers: Hunt states that "the few attempts to build up a subfield of psychohistory collapsed under the weight of its presuppositions." She concludes that as of 2014 the "'iron curtain' between historians and psychology...remains standing." Products of evolution: adaptations, exaptations, byproducts, and random variation Not all traits of organisms are evolutionary adaptations. As noted in the table below, traits may also be exaptations, byproducts of adaptations (sometimes called "spandrels"), or random variation between individuals. Psychological adaptations are hypothesized to be innate or relatively easy to learn and to manifest in cultures worldwide. For example, the ability of toddlers to learn a language with virtually no training is likely to be a psychological adaptation. On the other hand, ancestral humans did not read or write, thus today, learning to read and write requires extensive training, and presumably involves the repurposing of cognitive capacities that evolved in response to selection pressures unrelated to written language. However, variations in manifest behavior can result from universal mechanisms interacting with different local environments. For example, Caucasians who move from a northern climate to the equator will have darker skin. The mechanisms regulating their pigmentation do not change; rather the input to those mechanisms change, resulting in different outputs. One of the tasks of evolutionary psychology is to identify which psychological traits are likely to be adaptations, byproducts or random variation. George C. Williams suggested that an "adaptation is a special and onerous concept that should only be used where it is really necessary." As noted by Williams and others, adaptations can be identified by their improbable complexity, species universality, and adaptive functionality. Obligate and facultative adaptations A question that may be asked about an adaptation is whether it is generally obligate (relatively robust in the face of typical environmental variation) or facultative (sensitive to typical environmental variation). The sweet taste of sugar and the pain of hitting one's knee against concrete are the result of fairly obligate psychological adaptations; typical environmental variability during development does not much affect their operation. By contrast, facultative adaptations are somewhat like "if-then" statements. For example, The adaptation for skin to tan is conditional to exposure to sunlight; this is an example of another facultative adaptation. When a psychological adaptation is facultative, evolutionary psychologists concern themselves with how developmental and environmental inputs influence the expression of the adaptation. Cultural universals Evolutionary psychologists hold that behaviors or traits that occur universally in all cultures are good candidates for evolutionary adaptations. Cultural universals include behaviors related to language, cognition, social roles, gender roles, and technology. Evolved psychological adaptations (such as the ability to learn a language) interact with cultural inputs to produce specific behaviors (e.g., the specific language learned). Basic gender differences, such as greater eagerness for sex among men and greater coyness among women, are explained as sexually dimorphic psychological adaptations that reflect the different reproductive strategies of males and females. Evolutionary psychologists contrast their approach to what they term the "standard social science model," according to which the mind is a general-purpose cognition device shaped almost entirely by culture. Environment of evolutionary adaptedness Evolutionary psychology argues that to properly understand the functions of the brain, one must understand the properties of the environment in which the brain evolved. That environment is often referred to as the "environment of evolutionary adaptedness". The idea of an environment of evolutionary adaptedness was first explored as a part of attachment theory by John Bowlby. This is the environment to which a particular evolved mechanism is adapted. More specifically, the environment of evolutionary adaptedness is defined as the set of historically recurring selection pressures that formed a given adaptation, as well as those aspects of the environment that were necessary for the proper development and functioning of the adaptation. Humans, comprising the genus Homo, appeared between 1.5 and 2.5 million years ago, a time that roughly coincides with the start of the Pleistocene 2.6 million years ago. Because the Pleistocene ended a mere 12,000 years ago, most human adaptations either newly evolved during the Pleistocene, or were maintained by stabilizing selection during the Pleistocene. Evolutionary psychology, therefore, proposes that the majority of human psychological mechanisms are adapted to reproductive problems frequently encountered in Pleistocene environments. In broad terms, these problems include those of growth, development, differentiation, maintenance, mating, parenting, and social relationships. The environment of evolutionary adaptedness is significantly different from modern society. The ancestors of modern humans lived in smaller groups, had more cohesive cultures, and had more stable and rich contexts for identity and meaning. Researchers look to existing hunter-gatherer societies for clues as to how hunter-gatherers lived in the environment of evolutionary adaptedness. Unfortunately, the few surviving hunter-gatherer societies are different from each other, and they have been pushed out of the best land and into harsh environments, so it is not clear how closely they reflect ancestral culture. However, all around the world small-band hunter-gatherers offer a similar developmental system for the young ("hunter-gatherer childhood model," Konner, 2005; "evolved developmental niche" or "evolved nest;" Narvaez et al., 2013). The characteristics of the niche are largely the same as for social mammals, who evolved over 30 million years ago: soothing perinatal experience, several years of on-request breastfeeding, nearly constant affection or physical proximity, responsiveness to need (mitigating offspring distress), self-directed play, and for humans, multiple responsive caregivers. Initial studies show the importance of these components in early life for positive child outcomes. Evolutionary psychologists sometimes look to chimpanzees, bonobos, and other great apes for insight into human ancestral behavior. Mismatches Since an organism's adaptations were suited to its ancestral environment, a new and different environment can create a mismatch. Because humans are mostly adapted to Pleistocene environments, psychological mechanisms sometimes exhibit "mismatches" to the modern environment. One example is the fact that although about 10,000 people are killed with guns in the US annually, whereas spiders and snakes kill only a handful, people nonetheless learn to fear spiders and snakes about as easily as they do a pointed gun, and more easily than an unpointed gun, rabbits or flowers. A potential explanation is that spiders and snakes were a threat to human ancestors throughout the Pleistocene, whereas guns (and rabbits and flowers) were not. There is thus a mismatch between humans' evolved fear-learning psychology and the modern environment. This mismatch also shows up in the phenomena of the supernormal stimulus, a stimulus that elicits a response more strongly than the stimulus for which the response evolved. The term was coined by Niko Tinbergen to refer to non-human animal behavior, but psychologist Deirdre Barrett said that supernormal stimulation governs the behavior of humans as powerfully as that of other animals. She explained junk food as an exaggerated stimulus to cravings for salt, sugar, and fats, and she says that television is an exaggeration of social cues of laughter, smiling faces and attention-grabbing action. Magazine centerfolds and double cheeseburgers pull instincts intended for an environment of evolutionary adaptedness where breast development was a sign of health, youth and fertility in a prospective mate, and fat was a rare and vital nutrient. The psychologist Mark van Vugt recently argued that modern organizational leadership is a mismatch. His argument is that humans are not adapted to work in large, anonymous bureaucratic structures with formal hierarchies. The human mind still responds to personalized, charismatic leadership primarily in the context of informal, egalitarian settings. Hence the dissatisfaction and alienation that many employees experience. Salaries, bonuses and other privileges exploit instincts for relative status, which attract particularly males to senior executive positions. Research methods Evolutionary theory is heuristic in that it may generate hypotheses that might not be developed from other theoretical approaches. One of the major goals of adaptationist research is to identify which organismic traits are likely to be adaptations, and which are byproducts or random variations. As noted earlier, adaptations are expected to show evidence of complexity, functionality, and species universality, while byproducts or random variation will not. In addition, adaptations are expected to manifest as proximate mechanisms that interact with the environment in either a generally obligate or facultative fashion (see above). Evolutionary psychologists are also interested in identifying these proximate mechanisms (sometimes termed "mental mechanisms" or "psychological adaptations") and what type of information they take as input, how they process that information, and their outputs. Evolutionary developmental psychology, or "evo-devo," focuses on how adaptations may be activated at certain developmental times (e.g., losing baby teeth, adolescence, etc.) or how events during the development of an individual may alter life-history trajectories. Evolutionary psychologists use several strategies to develop and test hypotheses about whether a psychological trait is likely to be an evolved adaptation. Buss (2011) notes that these methods include: Cross-cultural Consistency. Characteristics that have been demonstrated to be cross-cultural human universals such as smiling, crying, facial expressions are presumed to be evolved psychological adaptations. Several evolutionary psychologists have collected massive datasets from cultures around the world to assess cross-cultural universality. Function to Form (or "problem to solution"). The fact that males, but not females, risk potential misidentification of genetic offspring (referred to as "paternity insecurity") led evolutionary psychologists to hypothesize that, compared to females, male jealousy would be more focused on sexual, rather than emotional, infidelity. Form to Function (reverse-engineering – or "solution to problem"). Morning sickness, and associated aversions to certain types of food, during pregnancy seemed to have the characteristics of an evolved adaptation (complexity and universality). Margie Profet hypothesized that the function was to avoid the ingestion of toxins during early pregnancy that could damage fetus (but which are otherwise likely to be harmless to healthy non-pregnant women). Corresponding Neurological Modules. Evolutionary psychology and cognitive neuropsychology are mutually compatible – evolutionary psychology helps to identify psychological adaptations and their ultimate, evolutionary functions, while neuropsychology helps to identify the proximate manifestations of these adaptations. Current Evolutionary Adaptiveness. In addition to evolutionary models that suggest evolution occurs across large spans of time, recent research has demonstrated that some evolutionary shifts can be fast and dramatic. Consequently, some evolutionary psychologists have focused on the impact of psychological traits in the current environment. Such research can be used to inform estimates of the prevalence of traits over time. Such work has been informative in studying evolutionary psychopathology. Evolutionary psychologists also use various sources of data for testing, including experiments, archaeological records, data from hunter-gatherer societies, observational studies, neuroscience data, self-reports and surveys, public records, and human products. Recently, additional methods and tools have been introduced based on fictional scenarios, mathematical models, and multi-agent computer simulations. Main areas of research Foundational areas of research in evolutionary psychology can be divided into broad categories of adaptive problems that arise from evolutionary theory itself: survival, mating, parenting, family and kinship, interactions with non-kin, and cultural evolution. Survival and individual-level psychological adaptations Problems of survival are clear targets for the evolution of physical and psychological adaptations. Major problems the ancestors of present-day humans faced included food selection and acquisition; territory selection and physical shelter; and avoiding predators and other environmental threats. Consciousness Consciousness meets George Williams' criteria of species universality, complexity, and functionality, and it is a trait that apparently increases fitness. In his paper "Evolution of consciousness," John Eccles argues that special anatomical and physical adaptations of the mammalian cerebral cortex gave rise to consciousness. In contrast, others have argued that the recursive circuitry underwriting consciousness is much more primitive, having evolved initially in pre-mammalian species because it improves the capacity for interaction with both social and natural environments by providing an energy-saving "neutral" gear in an otherwise energy-expensive motor output machine. Once in place, this recursive circuitry may well have provided a basis for the subsequent development of many of the functions that consciousness facilitates in higher organisms, as outlined by Bernard J. Baars. Richard Dawkins suggested that humans evolved consciousness in order to make themselves the subjects of thought. Daniel Povinelli suggests that large, tree-climbing apes evolved consciousness to take into account one's own mass when moving safely among tree branches. Consistent with this hypothesis, Gordon Gallup found that chimpanzees and orangutans, but not little monkeys or terrestrial gorillas, demonstrated self-awareness in mirror tests. The concept of consciousness can refer to voluntary action, awareness, or wakefulness. However, even voluntary behavior involves unconscious mechanisms. Many cognitive processes take place in the cognitive unconscious, unavailable to conscious awareness. Some behaviors are conscious when learned but then become unconscious, seemingly automatic. Learning, especially implicitly learning a skill, can take place outside of consciousness. For example, plenty of people know how to turn right when they ride a bike, but very few can accurately explain how they actually do so. Evolutionary psychology approaches self-deception as an adaptation that can improve one's results in social exchanges. Sleep may have evolved to conserve energy when activity would be less fruitful or more dangerous, such as at night, and especially during the winter season. Sensation and perception Many experts, such as Jerry Fodor, write that the purpose of perception is knowledge, but evolutionary psychologists hold that its primary purpose is to guide action. For example, they say, depth perception seems to have evolved not to help us know the distances to other objects but rather to help us move around in space. Evolutionary psychologists say that animals from fiddler crabs to humans use eyesight for collision avoidance, suggesting that vision is basically for directing action, not providing knowledge. Building and maintaining sense organs is metabolically expensive, so these organs evolve only when they improve an organism's fitness. More than half the brain is devoted to processing sensory information, and the brain itself consumes roughly one-fourth of one's metabolic resources, so the senses must provide exceptional benefits to fitness. Perception accurately mirrors the world; animals get useful, accurate information through their senses. Scientists who study perception and sensation have long understood the human senses as adaptations to their surrounding worlds. Depth perception consists of processing over half a dozen visual cues, each of which is based on a regularity of the physical world. Vision evolved to respond to the narrow range of electromagnetic energy that is plentiful and that does not pass through objects. Sound waves go around corners and interact with obstacles, creating a complex pattern that includes useful information about the sources of and distances to objects. Larger animals naturally make lower-pitched sounds as a consequence of their size. The range over which an animal hears, on the other hand, is determined by adaptation. Homing pigeons, for example, can hear the very low-pitched sound (infrasound) that carries great distances, even though most smaller animals detect higher-pitched sounds. Taste and smell respond to chemicals in the environment that are thought to have been significant for fitness in the environment of evolutionary adaptedness. For example, salt and sugar were apparently both valuable to the human or pre-human inhabitants of the environment of evolutionary adaptedness, so present-day humans have an intrinsic hunger for salty and sweet tastes. The sense of touch is actually many senses, including pressure, heat, cold, tickle, and pain. Pain, while unpleasant, is adaptive. An important adaptation for senses is range shifting, by which the organism becomes temporarily more or less sensitive to sensation. For example, one's eyes automatically adjust to dim or bright ambient light. Sensory abilities of different organisms often coevolve, as is the case with the hearing of echolocating bats and that of the moths that have evolved to respond to the sounds that the bats make. Evolutionary psychologists contend that perception demonstrates the principle of modularity, with specialized mechanisms handling particular perception tasks. For example, people with damage to a particular part of the brain suffer from the specific defect of not being able to recognize faces (prosopagnosia). Evolutionary psychology suggests that this indicates a so-called face-reading module. Learning and facultative adaptations In evolutionary psychology, learning is said to be accomplished through evolved capacities, specifically facultative adaptations. Facultative adaptations express themselves differently depending on input from the environment. Sometimes the input comes during development and helps shape that development. For example, migrating birds learn to orient themselves by the stars during a critical period in their maturation. Evolutionary psychologists believe that humans also learn language along an evolved program, also with critical periods. The input can also come during daily tasks, helping the organism cope with changing environmental conditions. For example, animals evolved Pavlovian conditioning in order to solve problems about causal relationships. Animals accomplish learning tasks most easily when those tasks resemble problems that they faced in their evolutionary past, such as a rat learning where to find food or water. Learning capacities sometimes demonstrate differences between the sexes. In many animal species, for example, males can solve spatial problems faster and more accurately than females, due to the effects of male hormones during development. The same might be true of humans. Emotion and motivation Motivations direct and energize behavior, while emotions provide the affective component to motivation, positive or negative. In the early 1970s, Paul Ekman and colleagues began a line of research which suggests that many emotions are universal. He found evidence that humans share at least five basic emotions: fear, sadness, happiness, anger, and disgust. Social emotions evidently evolved to motivate social behaviors that were adaptive in the environment of evolutionary adaptedness. For example, spite seems to work against the individual but it can establish an individual's reputation as someone to be feared. Shame and pride can motivate behaviors that help one maintain one's standing in a community, and self-esteem is one's estimate of one's status. Motivation has a neurobiological basis in the reward system of the brain. Recently, it has been suggested that reward systems may evolve in such a way that there may be an inherent or unavoidable trade-off in the motivational system for activities of short versus long duration. Cognition Cognition refers to internal representations of the world and internal information processing. From an evolutionary psychology perspective, cognition is not "general purpose," but uses heuristics, or strategies, that generally increase the likelihood of solving problems that the ancestors of present-day humans routinely faced. For example, present-day humans are far more likely to solve logic problems that involve detecting cheating (a common problem given humans' social nature) than the same logic problem put in purely abstract terms. Since the ancestors of present-day humans did not encounter truly random events, present-day humans may be cognitively predisposed to incorrectly identify patterns in random sequences. "Gamblers' Fallacy" is one example of this. Gamblers may falsely believe that they have hit a "lucky streak" even when each outcome is actually random and independent of previous trials. Most people believe that if a fair coin has been flipped 9 times and Heads appears each time, that on the tenth flip, there is a greater than 50% chance of getting Tails. Humans find it far easier to make diagnoses or predictions using frequency data than when the same information is presented as probabilities or percentages, presumably because the ancestors of present-day humans lived in relatively small tribes (usually with fewer than 150 people) where frequency information was more readily available. Personality Evolutionary psychology is primarily interested in finding commonalities between people, or basic human psychological nature. From an evolutionary perspective, the fact that people have fundamental differences in personality traits initially presents something of a puzzle. (Note: The field of behavioral genetics is concerned with statistically partitioning differences between people into genetic and environmental sources of variance. However, understanding the concept of heritability can be tricky – heritability refers only to the differences between people, never the degree to which the traits of an individual are due to environmental or genetic factors, since traits are always a complex interweaving of both.) Personality traits are conceptualized by evolutionary psychologists as due to normal variation around an optimum, due to frequency-dependent selection (behavioral polymorphisms), or as facultative adaptations. Like variability in height, some personality traits may simply reflect inter-individual variability around a general optimum. Or, personality traits may represent different genetically predisposed "behavioral morphs" – alternate behavioral strategies that depend on the frequency of competing behavioral strategies in the population. For example, if most of the population is generally trusting and gullible, the behavioral morph of being a "cheater" (or, in the extreme case, a sociopath) may be advantageous. Finally, like many other psychological adaptations, personality traits may be facultative – sensitive to typical variations in the social environment, especially during early development. For example, later-born children are more likely than firstborns to be rebellious, less conscientious and more open to new experiences, which may be advantageous to them given their particular niche in family structure. It is important to note that shared environmental influences do play a role in personality and are not always of less importance than genetic factors. However, shared environmental influences often decrease to near zero after adolescence but do not completely disappear. Language According to Steven Pinker, who builds on the work by Noam Chomsky, the universal human ability to learn to talk between the ages of 1 – 4, basically without training, suggests that language acquisition is a distinctly human psychological adaptation (see, in particular, Pinker's The Language Instinct). Pinker and Bloom (1990) argue that language as a mental faculty shares many likenesses with the complex organs of the body which suggests that, like these organs, language has evolved as an adaptation, since this is the only known mechanism by which such complex organs can develop. Pinker follows Chomsky in arguing that the fact that children can learn any human language with no explicit instruction suggests that language, including most of grammar, is basically innate and that it only needs to be activated by interaction. Chomsky himself does not believe language to have evolved as an adaptation, but suggests that it likely evolved as a byproduct of some other adaptation, a so-called spandrel. But Pinker and Bloom argue that the organic nature of language strongly suggests that it has an adaptational origin. Evolutionary psychologists hold that the FOXP2 gene may well be associated with the evolution of human language. In the 1980s, psycholinguist Myrna Gopnik identified a dominant gene that causes language impairment in the KE family of Britain. This gene turned out to be a mutation of the FOXP2 gene. Humans have a unique allele of this gene, which has otherwise been closely conserved through most of mammalian evolutionary history. This unique allele seems to have first appeared between 100 and 200 thousand years ago, and it is now all but universal in humans. However, the once-popular idea that FOXP2 is a 'grammar gene' or that it triggered the emergence of language in Homo sapiens is now widely discredited. Currently, several competing theories about the evolutionary origin of language coexist, none of them having achieved a general consensus. Researchers of language acquisition in primates and humans such as Michael Tomasello and Talmy Givón, argue that the innatist framework has understated the role of imitation in learning and that it is not at all necessary to posit the existence of an innate grammar module to explain human language acquisition. Tomasello argues that studies of how children and primates actually acquire communicative skills suggest that humans learn complex behavior through experience, so that instead of a module specifically dedicated to language acquisition, language is acquired by the same cognitive mechanisms that are used to acquire all other kinds of socially transmitted behavior. On the issue of whether language is best seen as having evolved as an adaptation or as a spandrel, evolutionary biologist W. Tecumseh Fitch, following Stephen J. Gould, argues that it is unwarranted to assume that every aspect of language is an adaptation, or that language as a whole is an adaptation. He criticizes some strands of evolutionary psychology for suggesting a pan-adaptionist view of evolution, and dismisses Pinker and Bloom's question of whether "Language has evolved as an adaptation" as being misleading. He argues instead that from a biological viewpoint the evolutionary origins of language is best conceptualized as being the probable result of a convergence of many separate adaptations into a complex system. A similar argument is made by Terrence Deacon who in The Symbolic Species argues that the different features of language have co-evolved with the evolution of the mind and that the ability to use symbolic communication is integrated in all other cognitive processes. If the theory that language could have evolved as a single adaptation is accepted, the question becomes which of its many functions has been the basis of adaptation. Several evolutionary hypotheses have been posited: that language evolved for the purpose of social grooming, that it evolved as a way to show mating potential or that it evolved to form social contracts. Evolutionary psychologists recognize that these theories are all speculative and that much more evidence is required to understand how language might have been selectively adapted. Mating Given that sexual reproduction is the means by which genes are propagated into future generations, sexual selection plays a large role in human evolution. Human mating, then, is of interest to evolutionary psychologists who aim to investigate evolved mechanisms to attract and secure mates. Several lines of research have stemmed from this interest, such as studies of mate selection mate poaching, mate retention, mating preferences and conflict between the sexes. In 1972 Robert Trivers published an influential paper on sex differences that is now referred to as parental investment theory. The size differences of gametes (anisogamy) is the fundamental, defining difference between males (small gametes – sperm) and females (large gametes – ova). Trivers noted that anisogamy typically results in different levels of parental investment between the sexes, with females initially investing more. Trivers proposed that this difference in parental investment leads to the sexual selection of different reproductive strategies between the sexes and to sexual conflict. For example, he suggested that the sex that invests less in offspring will generally compete for access to the higher-investing sex to increase their inclusive fitness (also see Bateman's principle). Trivers posited that differential parental investment led to the evolution of sexual dimorphisms in mate choice, intra- and inter- sexual reproductive competition, and courtship displays. In mammals, including humans, females make a much larger parental investment than males (i.e. gestation followed by childbirth and lactation). Parental investment theory is a branch of life history theory. Buss and Schmitt's (1993) Sexual Strategies Theory proposed that, due to differential parental investment, humans have evolved sexually dimorphic adaptations related to "sexual accessibility, fertility assessment, commitment seeking and avoidance, immediate and enduring resource procurement, paternity certainty, assessment of mate value, and parental investment." Their Strategic Interference Theory suggested that conflict between the sexes occurs when the preferred reproductive strategies of one sex interfere with those of the other sex, resulting in the activation of emotional responses such as anger or jealousy. Women are generally more selective when choosing mates, especially under long-term mating conditions. However, under some circumstances, short term mating can provide benefits to women as well, such as fertility insurance, trading up to better genes, reducing the risk of inbreeding, and insurance protection of her offspring. Due to male paternity insecurity, sex differences have been found in the domains of sexual jealousy. Females generally react more adversely to emotional infidelity and males will react more to sexual infidelity. This particular pattern is predicted because the costs involved in mating for each sex are distinct. Women, on average, should prefer a mate who can offer resources (e.g., financial, commitment), thus, a woman risks losing such resources with a mate who commits emotional infidelity. Men, on the other hand, are never certain of the genetic paternity of their children because they do not bear the offspring themselves ("paternity insecurity"). This suggests that for men sexual infidelity would generally be more aversive than emotional infidelity because investing resources in another man's offspring does not lead to the propagation of their own genes. Another interesting line of research is that which examines women's mate preferences across the ovulatory cycle. The theoretical underpinning of this research is that ancestral women would have evolved mechanisms to select mates with certain traits depending on their hormonal status. Known as the ovulatory shift hypothesis, the theory posits that, during the ovulatory phase of a woman's cycle (approximately days 10–15 of a woman's cycle), a woman who mated with a male with high genetic quality would have been more likely, on average, to produce and bear a healthy offspring than a woman who mated with a male with low genetic quality. These putative preferences are predicted to be especially apparent for short-term mating domains because a potential male mate would only be offering genes to a potential offspring. This hypothesis allows researchers to examine whether women select mates who have characteristics that indicate high genetic quality during the high fertility phase of their ovulatory cycles. Indeed, studies have shown that women's preferences vary across the ovulatory cycle. In particular, Haselton and Miller (2006) showed that highly fertile women prefer creative but poor men as short-term mates. Creativity may be a proxy for good genes. Research by Gangestad et al. (2004) indicates that highly fertile women prefer men who display social presence and intrasexual competition; these traits may act as cues that would help women predict which men may have, or would be able to acquire, resources. Parenting Reproduction is always costly for women, and can also be for men. Individuals are limited in the degree to which they can devote time and resources to producing and raising their young, and such expenditure may also be detrimental to their future condition, survival and further reproductive output. Parental investment is any parental expenditure (time, energy etc.) that benefits one offspring at a cost to parents' ability to invest in other components of fitness (Clutton-Brock 1991: 9; Trivers 1972). Components of fitness (Beatty 1992) include the well-being of existing offspring, parents' future reproduction, and inclusive fitness through aid to kin (Hamilton, 1964). Parental investment theory is a branch of life history theory. Robert Trivers' theory of parental investment predicts that the sex making the largest investment in lactation, nurturing and protecting offspring will be more discriminating in mating and that the sex that invests less in offspring will compete for access to the higher investing sex (see Bateman's principle). Sex differences in parental effort are important in determining the strength of sexual selection. The benefits of parental investment to the offspring are large and are associated with the effects on condition, growth, survival, and ultimately, on the reproductive success of the offspring. However, these benefits can come at the cost of the parent's ability to reproduce in the future e.g. through the increased risk of injury when defending offspring against predators, the loss of mating opportunities whilst rearing offspring, and an increase in the time to the next reproduction. Overall, parents are selected to maximize the difference between the benefits and the costs, and parental care will likely evolve when the benefits exceed the costs. The Cinderella effect is an alleged high incidence of stepchildren being physically, emotionally or sexually abused, neglected, murdered, or otherwise mistreated at the hands of their stepparents at significantly higher rates than their genetic counterparts. It takes its name from the fairy tale character Cinderella, who in the story was cruelly mistreated by her stepmother and stepsisters. Daly and Wilson (1996) noted: "Evolutionary thinking led to the discovery of the most important risk factor for child homicide – the presence of a stepparent. Parental efforts and investments are valuable resources, and selection favors those parental psyches that allocate effort effectively to promote fitness. The adaptive problems that challenge parental decision-making include both the accurate identification of one's offspring and the allocation of one's resources among them with sensitivity to their needs and abilities to convert parental investment into fitness increments…. Stepchildren were seldom or never so valuable to one's expected fitness as one's own offspring would be, and those parental psyches that were easily parasitized by just any appealing youngster must always have incurred a selective disadvantage"(Daly & Wilson, 1996, pp. 64–65). However, they note that not all stepparents will "want" to abuse their partner's children, or that genetic parenthood is any insurance against abuse. They see step parental care as primarily "mating effort" towards the genetic parent. Family and kin Inclusive fitness is the sum of an organism's classical fitness (how many of its own offspring it produces and supports) and the number of equivalents of its own offspring it can add to the population by supporting others. The first component is called classical fitness by Hamilton (1964). From the gene's point of view, evolutionary success ultimately depends on leaving behind the maximum number of copies of itself in the population. Until 1964, it was generally believed that genes only achieved this by causing the individual to leave the maximum number of viable offspring. However, in 1964 W. D. Hamilton proved mathematically that, because close relatives of an organism share some identical genes, a gene can also increase its evolutionary success by promoting the reproduction and survival of these related or otherwise similar individuals. Hamilton concluded that this leads natural selection to favor organisms that would behave in ways that maximize their inclusive fitness. It is also true that natural selection favors behavior that maximizes personal fitness. Hamilton's rule describes mathematically whether or not a gene for altruistic behavior will spread in a population: where is the reproductive cost to the altruist, is the reproductive benefit to the recipient of the altruistic behavior, and is the probability, above the population average, of the individuals sharing an altruistic gene – commonly viewed as "degree of relatedness". The concept serves to explain how natural selection can perpetuate altruism. If there is an "altruism gene" (or complex of genes) that influences an organism's behavior to be helpful and protective of relatives and their offspring, this behavior also increases the proportion of the altruism gene in the population, because relatives are likely to share genes with the altruist due to common descent. Altruists may also have some way to recognize altruistic behavior in unrelated individuals and be inclined to support them. As Dawkins points out in The Selfish Gene (Chapter 6) and The Extended Phenotype, this must be distinguished from the green-beard effect. Although it is generally true that humans tend to be more altruistic toward their kin than toward non-kin, the relevant proximate mechanisms that mediate this cooperation have been debated (see kin recognition), with some arguing that kin status is determined primarily via social and cultural factors (such as co-residence, maternal association of sibs, etc.), while others have argued that kin recognition can also be mediated by biological factors such as facial resemblance and immunogenetic similarity of the major histocompatibility complex (MHC). For a discussion of the interaction of these social and biological kin recognition factors see Lieberman, Tooby, and Cosmides (2007) (PDF). Whatever the proximate mechanisms of kin recognition there is substantial evidence that humans act generally more altruistically to close genetic kin compared to genetic non-kin. Interactions with non-kin / reciprocity Although interactions with non-kin are generally less altruistic compared to those with kin, cooperation can be maintained with non-kin via mutually beneficial reciprocity as was proposed by Robert Trivers. If there are repeated encounters between the same two players in an evolutionary game in which each of them can choose either to "cooperate" or "defect," then a strategy of mutual cooperation may be favored even if it pays each player, in the short term, to defect when the other cooperates. Direct reciprocity can lead to the evolution of cooperation only if the probability, w, of another encounter between the same two individuals exceeds the cost-to-benefit ratio of the altruistic act: w > c/b Reciprocity can also be indirect if information about previous interactions is shared. Reputation allows evolution of cooperation by indirect reciprocity. Natural selection favors strategies that base the decision to help on the reputation of the recipient: studies show that people who are more helpful are more likely to receive help. The calculations of indirect reciprocity are complicated and only a tiny fraction of this universe has been uncovered, but again a simple rule has emerged. Indirect reciprocity can only promote cooperation if the probability, q, of knowing someone's reputation exceeds the cost-to-benefit ratio of the altruistic act: q > c/b One important problem with this explanation is that individuals may be able to evolve the capacity to obscure their reputation, reducing the probability, q, that it will be known. Trivers argues that friendship and various social emotions evolved in order to manage reciprocity. Liking and disliking, he says, evolved to help present-day humans' ancestors form coalitions with others who reciprocated and to exclude those who did not reciprocate. Moral indignation may have evolved to prevent one's altruism from being exploited by cheaters, and gratitude may have motivated present-day humans' ancestors to reciprocate appropriately after benefiting from others' altruism. Likewise, present-day humans feel guilty when they fail to reciprocate. These social motivations match what evolutionary psychologists expect to see in adaptations that evolved to maximize the benefits and minimize the drawbacks of reciprocity. Evolutionary psychologists say that humans have psychological adaptations that evolved specifically to help us identify nonreciprocators, commonly referred to as "cheaters." In 1993, Robert Frank and his associates found that participants in a prisoner's dilemma scenario were often able to predict whether their partners would "cheat," based on a half-hour of unstructured social interaction. In a 1996 experiment, for example, Linda Mealey and her colleagues found that people were better at remembering the faces of people when those faces were associated with stories about those individuals cheating (such as embezzling money from a church). Strong reciprocity (or "tribal reciprocity") Humans may have an evolved set of psychological adaptations that predispose them to be more cooperative than otherwise would be expected with members of their tribal in-group, and, more nasty to members of tribal out groups. These adaptations may have been a consequence of tribal warfare. Humans may also have predispositions for "altruistic punishment" – to punish in-group members who violate in-group rules, even when this altruistic behavior cannot be justified in terms of helping those you are related to (kin selection), cooperating with those who you will interact with again (direct reciprocity), or cooperating to better your reputation with others (indirect reciprocity). Evolutionary psychology and culture Though evolutionary psychology has traditionally focused on individual-level behaviors, determined by species-typical psychological adaptations, considerable work has been done on how these adaptations shape and, ultimately govern, culture (Tooby and Cosmides, 1989). Tooby and Cosmides (1989) argued that the mind consists of many domain-specific psychological adaptations, some of which may constrain what cultural material is learned or taught. As opposed to a domain-general cultural acquisition program, where an individual passively receives culturally-transmitted material from the group, Tooby and Cosmides (1989), among others, argue that: "the psyche evolved to generate adaptive rather than repetitive behavior, and hence critically analyzes the behavior of those surrounding it in highly structured and patterned ways, to be used as a rich (but by no means the only) source of information out of which to construct a 'private culture' or individually tailored adaptive system; in consequence, this system may or may not mirror the behavior of others in any given respect." (Tooby and Cosmides 1989). In psychology sub-fields Developmental psychology According to Paul Baltes, the benefits granted by evolutionary selection decrease with age. Natural selection has not eliminated many harmful conditions and nonadaptive characteristics that appear among older adults, such as Alzheimer disease. If it were a disease that killed 20-year-olds instead of 70-year-olds this may have been a disease that natural selection could have eliminated ages ago. Thus, unaided by evolutionary pressures against nonadaptive conditions, modern humans suffer the aches, pains, and infirmities of aging and as the benefits of evolutionary selection decrease with age, the need for modern technological mediums against non-adaptive conditions increases. Social psychology As humans are a highly social species, there are many adaptive problems associated with navigating the social world (e.g., maintaining allies, managing status hierarchies, interacting with outgroup members, coordinating social activities, collective decision-making). Researchers in the emerging field of evolutionary social psychology have made many discoveries pertaining to topics traditionally studied by social psychologists, including person perception, social cognition, attitudes, altruism, emotions, group dynamics, leadership, motivation, prejudice, intergroup relations, and cross-cultural differences. When endeavouring to solve a problem humans at an early age show determination while chimpanzees have no comparable facial expression. Researchers suspect the human determined expression evolved because when a human is determinedly working on a problem other people will frequently help. Abnormal psychology Adaptationist hypotheses regarding the etiology of psychological disorders are often based on analogies between physiological and psychological dysfunctions, as noted in the table below. Prominent theorists and evolutionary psychiatrists include Michael T. McGuire, Anthony Stevens, and Randolph M. Nesse. They, and others, suggest that mental disorders are due to the interactive effects of both nature and nurture, and often have multiple contributing causes. Evolutionary psychologists have suggested that schizophrenia and bipolar disorder may reflect a side-effect of genes with fitness benefits, such as increased creativity. (Some individuals with bipolar disorder are especially creative during their manic phases and the close relatives of people with schizophrenia have been found to be more likely to have creative professions.) A 1994 report by the American Psychiatry Association found that people suffered from schizophrenia at roughly the same rate in Western and non-Western cultures, and in industrialized and pastoral societies, suggesting that schizophrenia is not a disease of civilization nor an arbitrary social invention. Sociopathy may represent an evolutionarily stable strategy, by which a small number of people who cheat on social contracts benefit in a society consisting mostly of non-sociopaths. Mild depression may be an adaptive response to withdraw from, and re-evaluate, situations that have led to disadvantageous outcomes (the "analytical rumination hypothesis") (see Evolutionary approaches to depression). Some of these speculations have yet to be developed into fully testable hypotheses, and a great deal of research is required to confirm their validity. Antisocial and criminal behavior Evolutionary psychology has been applied to explain criminal or otherwise immoral behavior as being adaptive or related to adaptive behaviors. Males are generally more aggressive than females, who are more selective of their partners because of the far greater effort they have to contribute to pregnancy and child-rearing. Males being more aggressive is hypothesized to stem from the more intense reproductive competition faced by them. Males of low status may be especially vulnerable to being childless. It may have been evolutionary advantageous to engage in highly risky and violently aggressive behavior to increase their status and therefore reproductive success. This may explain why males are generally involved in more crimes, and why low status and being unmarried are associated with criminality. Furthermore, competition over females is argued to have been particularly intensive in late adolescence and young adulthood, which is theorized to explain why crime rates are particularly high during this period. Some sociologists have underlined differential exposure to androgens as the cause of these behaviors, notably Lee Ellis in his evolutionary neuroandrogenic (ENA) theory. Many conflicts that result in harm and death involve status, reputation, and seemingly trivial insults. Steven Pinker in his book The Blank Slate argues that in non-state societies without a police it was very important to have a credible deterrence against aggression. Therefore, it was important to be perceived as having a credible reputation for retaliation, resulting in humans developing instincts for revenge as well as for protecting reputation ("honor"). Pinker argues that the development of the state and the police have dramatically reduced the level of violence compared to the ancestral environment. Whenever the state breaks down, which can be very locally such as in poor areas of a city, humans again organize in groups for protection and aggression and concepts such as violent revenge and protecting honor again become extremely important. Rape is theorized to be a reproductive strategy that facilitates the propagation of the rapist's progeny. Such a strategy may be adopted by men who otherwise are unlikely to be appealing to women and therefore cannot form legitimate relationships, or by high-status men on socially vulnerable women who are unlikely to retaliate to increase their reproductive success even further. The sociobiological theories of rape are highly controversial, as traditional theories typically do not consider rape to be a behavioral adaptation, and objections to this theory are made on ethical, religious, political, as well as scientific grounds. Psychology of religion Adaptationist perspectives on religious belief suggest that, like all behavior, religious behaviors are a product of the human brain. As with all other organ functions, cognition's functional structure has been argued to have a genetic foundation, and is therefore subject to the effects of natural selection and sexual selection. Like other organs and tissues, this functional structure should be universally shared amongst humans and should have solved important problems of survival and reproduction in ancestral environments. However, evolutionary psychologists remain divided on whether religious belief is more likely a consequence of evolved psychological adaptations, or a byproduct of other cognitive adaptations. Coalitional psychology Coalitional psychology is an approach to explain political behaviors between different coalitions and the conditionality of these behaviors in evolutionary psychological perspective. This approach assumes that since human beings appeared on the earth, they have evolved to live in groups instead of living as individuals to achieve benefits such as more mating opportunities and increased status. Human beings thus naturally think and act in a way that manages and negotiates group dynamics. Coalitional psychology offers falsifiable ex ante prediction by positing five hypotheses on how these psychological adaptations operate: Humans represent groups as a special category of individual, unstable and with a short shadow of the future Political entrepreneurs strategically manipulate the coalitional environment, often appealing to emotional devices such as "outrage" to inspire collective action. Relative gains dominate relations with enemies, whereas absolute gains characterize relations with allies. Coalitional size and male physical strength will positively predict individual support for aggressive foreign policies. Individuals with children, particularly women, will vary in adopting aggressive foreign policies than those without progeny. Reception and criticism Critics of evolutionary psychology accuse it of promoting genetic determinism, panadaptationism (the idea that all behaviors and anatomical features are adaptations), unfalsifiable hypotheses, distal or ultimate explanations of behavior when proximate explanations are superior, and malevolent political or moral ideas. Ethical implications Critics have argued that evolutionary psychology might be used to justify existing social hierarchies and reactionary policies. It has also been suggested by critics that evolutionary psychologists' theories and interpretations of empirical data rely heavily on ideological assumptions about race and gender. In response to such criticism, evolutionary psychologists often caution against committing the naturalistic fallacy – the assumption that "what is natural" is necessarily a moral good. However, their caution against committing the naturalistic fallacy has been criticized as means to stifle legitimate ethical discussions. Contradictions in models Some criticisms of evolutionary psychology point at contradictions between different aspects of adaptive scenarios posited by evolutionary psychology. One example is the evolutionary psychology model of extended social groups selecting for modern human brains, a contradiction being that the synaptic function of modern human brains require high amounts of many specific essential nutrients so that such a transition to higher requirements of the same essential nutrients being shared by all individuals in a population would decrease the possibility of forming large groups due to bottleneck foods with rare essential nutrients capping group sizes. It is mentioned that some insects have societies with different ranks for each individual and that monkeys remain socially functioning after the removal of most of the brain as additional arguments against big brains promoting social networking. The model of males as both providers and protectors is criticized for the impossibility of being in two places at once, the male cannot both protect his family at home and be out hunting at the same time. In the case of the claim that a provider male could buy protection service for his family from other males by bartering food that he had hunted, critics point at the fact that the most valuable food (the food that contained the rarest essential nutrients) would be different in different ecologies and as such vegetable in some geographical areas and animal in others, making it impossible for hunting styles relying on physical strength or risk-taking to be universally of similar value in bartered food and instead of making it inevitable that in some parts of Africa, food gathered with no need for major physical strength would be the most valuable to barter for protection. A contradiction between evolutionary psychology's claim of men needing to be more sexually visual than women for fast speed of assessing women's fertility than women needed to be able to assess the male's genes and its claim of male sexual jealousy guarding against infidelity is also pointed at, as it would be pointless for a male to be fast to assess female fertility if he needed to assess the risk of there being a jealous male mate and in that case his chances of defeating him before mating anyway (pointlessness of assessing one necessary condition faster than another necessary condition can possibly be assessed). Standard social science model Evolutionary psychology has been entangled in the larger philosophical and social science controversies related to the debate on nature versus nurture. Evolutionary psychologists typically contrast evolutionary psychology with what they call the standard social science model (SSSM). They characterize the SSSM as the "blank slate", "relativist", "social constructionist", and "cultural determinist" perspective that they say dominated the social sciences throughout the 20th century and assumed that the mind was shaped almost entirely by culture. Critics have argued that evolutionary psychologists created a false dichotomy between their own view and the caricature of the SSSM. Other critics regard the SSSM as a rhetorical device or a straw man and suggest that the scientists whom evolutionary psychologists associate with the SSSM did not believe that the mind was a blank state devoid of any natural predispositions. Reductionism and determinism Some critics view evolutionary psychology as a form of genetic reductionism and genetic determinism, a common critique being that evolutionary psychology does not address the complexity of individual development and experience and fails to explain the influence of genes on behavior in individual cases. Evolutionary psychologists respond that they are working within a nature-nurture interactionist framework that acknowledges that many psychological adaptations are facultative (sensitive to environmental variations during individual development). The discipline is generally not focused on proximate analyses of behavior, but rather its focus is on the study of distal/ultimate causality (the evolution of psychological adaptations). The field of behavioral genetics is focused on the study of the proximate influence of genes on behavior. Testability of hypotheses A frequent critique of the discipline is that the hypotheses of evolutionary psychology are frequently arbitrary and difficult or impossible to adequately test, thus questioning its status as an actual scientific discipline, for example because many current traits probably evolved to serve different functions than they do now. Thus because there are a potentially infinite number of alternative explanations for why a trait evolved, critics contend that it is impossible to determine the exact explanation. While evolutionary psychology hypotheses are difficult to test, evolutionary psychologists assert that it is not impossible. Part of the critique of the scientific base of evolutionary psychology includes a critique of the concept of the Environment of Evolutionary Adaptation (EEA). Some critics have argued that researchers know so little about the environment in which Homo sapiens evolved that explaining specific traits as an adaption to that environment becomes highly speculative. Evolutionary psychologists respond that they do know many things about this environment, including the facts that present day humans' ancestors were hunter-gatherers, that they generally lived in small tribes, etc. Edward Hagen argues that the human past environments were not radically different in the same sense as the Carboniferous or Jurassic periods and that the animal and plant taxa of the era were similar to those of the modern world, as was the geology and ecology. Hagen argues that few would deny that other organs evolved in the EEA (for example, lungs evolving in an oxygen rich atmosphere) yet critics question whether or not the brain's EEA is truly knowable, which he argues constitutes selective scepticism. Hagen also argues that most evolutionary psychology research is based on the fact that females can get pregnant and males cannot, which Hagen observes was also true in the EEA. John Alcock describes this as the "No Time Machine Argument", as critics are arguing that since it is not possible to travel back in time to the EEA, then it cannot be determined what was going on there and thus what was adaptive. Alcock argues that present-day evidence allows researchers to be reasonably confident about the conditions of the EEA and that the fact that so many human behaviours are adaptive in the current environment is evidence that the ancestral environment of humans had much in common with the present one, as these behaviours would have evolved in the ancestral environment. Thus Alcock concludes that researchers can make predictions on the adaptive value of traits. Similarly, Dominic Murphy argues that alternative explanations cannot just be forwarded but instead need their own evidence and predictions - if one explanation makes predictions that the others cannot, it is reasonable to have confidence in that explanation. In addition, Murphy argues that other historical sciences also make predictions about modern phenomena to come up with explanations about past phenomena, for example, cosmologists look for evidence for what we would expect to see in the modern-day if the Big Bang was true, while geologists make predictions about modern phenomena to determine if an asteroid wiped out the dinosaurs. Murphy argues that if other historical disciplines can conduct tests without a time machine, then the onus is on the critics to show why evolutionary psychology is untestable if other historical disciplines are not, as "methods should be judged across the board, not singled out for ridicule in one context." Modularity of mind Evolutionary psychologists generally presume that, like the body, the mind is made up of many evolved modular adaptations, although there is some disagreement within the discipline regarding the degree of general plasticity, or "generality," of some modules. It has been suggested that modularity evolves because, compared to non-modular networks, it would have conferred an advantage in terms of fitness and because connection costs are lower. In contrast, some academics argue that it is unnecessary to posit the existence of highly domain specific modules, and, suggest that the neural anatomy of the brain supports a model based on more domain general faculties and processes. Moreover, empirical support for the domain-specific theory stems almost entirely from performance on variations of the Wason selection task which is extremely limited in scope as it only tests one subtype of deductive reasoning. Cultural rather than genetic development of cognitive tools Cecilia Heyes has argued that the picture presented by some evolutionary psychology of the human mind as a collection of cognitive instinctsorgans of thought shaped by genetic evolution over very long time periodsdoes not fit research results. She posits instead that humans have cognitive gadgets"special-purpose organs of thought" built in the course of development through social interaction. Similar criticisms are articulated by Subrena E. Smith of the University of New Hampshire. Response by evolutionary psychologists Evolutionary psychologists have addressed many of their critics (see, for example, books by Segerstråle (2000), Defenders of the Truth: The Battle for Science in the Sociobiology Debate and Beyond, Barkow (2005), Missing the Revolution: Darwinism for Social Scientists, and Alcock (2001), The Triumph of Sociobiology). Among their rebuttals are that some criticisms are straw men, are based on an incorrect nature versus nurture dichotomy, are based on misunderstandings of the discipline, etc. Robert Kurzban suggested that "...critics of the field, when they err, are not slightly missing the mark. Their confusion is deep and profound. It's not like they are marksmen who can't quite hit the center of the target; they're holding the gun backwards." See also Affective neuroscience Behavioural genetics Biocultural evolution Biosocial criminology Collective unconscious Cognitive neuroscience Cultural neuroscience Darwinian Happiness Darwinian literary studies Deep social mind Dunbar's number Evolution of the brain List of evolutionary psychologists Evolutionary origin of religions Evolutionary psychiatry Evolutionary psychology and culture Molecular evolution Primate cognition Hominid intelligence Human ethology Great ape language Chimpanzee intelligence Cooperative eye hypothesis Id, ego, and superego Intersubjectivity Mirror neuron Noogenesis Origin of language Origin of speech Ovulatory shift hypothesis Primate empathy Shadow (psychology) Simulation theory of empathy Theory of mind Neuroethology Paleolithic diet Paleolithic lifestyle r/K selection theory Social neuroscience Sociobiology Universal Darwinism Notes References Barkow, J., Cosmides, L. & Tooby, J. 1992. The adapted mind: Evolutionary psychology and the generation of culture. Oxford: Oxford University Press. Buss, D. M. (1994). The evolution of desire: Strategies of human mating. New York: Basic Books. Confer, Easton, Fleischman, Goetz, Lewis, Perilloux & Buss Evolutionary Psychology, American Psychologist, 2010. Durrant, R., & Ellis, B.J. (2003). Evolutionary Psychology. In M. Gallagher & R.J. Nelson (Eds.), Comprehensive Handbook of Psychology, Volume Three: Biological Psychology (pp. 1–33). New York: Wiley & Sons. Gaulin, Steven J. C. and Donald H. McBurney. Evolutionary psychology. Prentice Hall. 2003. </ref> Nesse, R.M. (2000). Tingergen's Four Questions Organized. Schacter, Daniel L, Daniel Wegner and Daniel Gilbert. 2007. Psychology. Worth Publishers. . Tooby, J. & Cosmides, L. (2005). Conceptual foundations of evolutionary psychology. In D. M. Buss (Ed.), The Handbook of Evolutionary Psychology (pp. 5–67). Hoboken, NJ: Wiley. Full text Further reading Heylighen F. (2012). "Evolutionary Psychology", in: A. Michalos (ed.): Encyclopedia of Quality of Life Research (Springer, Berlin). Gerhard Medicus (2015). Being Human – Bridging the Gap between the Sciences of Body and Mind. Berlin: VWB Oikkonen, Venla: Gender, Sexuality and Reproduction in Evolutionary Narratives. London: Routledge, 2013. External links PsychTable.org Collaborative effort to catalog human psychological adaptations What Is Evolutionary Psychology? by Clinical Evolutionary Psychologist Dale Glaebach. Evolutionary Psychology – Approaches in Psychology Academic societies Human Behavior and Evolution Society; international society dedicated to using evolutionary theory to study human nature The International Society for Human Ethology; promotes ethological perspectives on the study of humans worldwide European Human Behaviour and Evolution Association an interdisciplinary society that supports the activities of European researchers with an interest in evolutionary accounts of human cognition, behavior and society The Association for Politics and the Life Sciences; an international and interdisciplinary association of scholars, scientists, and policymakers concerned with evolutionary, genetic, and ecological knowledge and its bearing on political behavior, public policy and ethics. Society for Evolutionary Analysis in Law a scholarly association dedicated to fostering interdisciplinary exploration of issues at the intersection of law, biology, and evolutionary theory The New England Institute for Cognitive Science and Evolutionary Psychology aims to foster research and education into the interdisciplinary nexus of cognitive science and evolutionary studies The NorthEastern Evolutionary Psychology Society; regional society dedicated to encouraging scholarship and dialogue on the topic of evolutionary psychology Feminist Evolutionary Psychology Society researchers that investigate the active role that females have had in human evolution Journals Evolutionary Psychology – free access online scientific journal Evolution and Human Behavior – journal of the Human Behavior and Evolution Society Evolutionary Psychological Science - An international, interdisciplinary forum for original research papers that address evolved psychology. Spans social and life sciences, anthropology, philosophy, criminology, law and the humanities. Politics and the Life Sciences – an interdisciplinary peer-reviewed journal published by the Association for Politics and the Life Sciences Human Nature: An Interdisciplinary Biosocial Perspective – advances the interdisciplinary investigation of the biological, social, and environmental factors that underlie human behavior. It focuses primarily on the functional unity in which these factors are continuously and mutually interactive. These include the evolutionary, biological, and sociological processes as they interact with human social behavior. Biological Theory: Integrating Development, Evolution and Cognition – devoted to theoretical advances in the fields of biology and cognition, with an emphasis on the conceptual integration afforded by evolutionary and developmental approaches. Evolutionary Anthropology Behavioral and Brain Sciences – interdisciplinary articles in psychology, neuroscience, behavioral biology, cognitive science, artificial intelligence, linguistics and philosophy. About 30% of the articles have focused on evolutionary analyses of behavior. Evolution and Development – research relevant to interface of evolutionary and developmental biology The Evolutionary Review – Art, Science, and Culture Videos Brief video clip from the "Evolution" PBS Series TED talk by Steven Pinker about his book The Blank Slate: The Modern Denial of Human Nature RSA talk by evolutionary psychologist Robert Kurzban on modularity of mind, based on his book Why Everyone (Else) is a Hypocrite Richard Dawkins' lecture on natural selection and evolutionary psychology Evolutionary Psychology – Steven Pinker & Frans de Waal Audio recording Stone Age Minds: A conversation with evolutionary psychologists Leda Cosmides and John Tooby Margaret Mead and Samoa. Review of the nature versus nurture debate triggered by Mead's book "Coming of Age in Samoa." "Evolutionary Psychology", In Our Time, BBC Radio 4 discussion with Janet Radcliffe Richards, Nicholas Humphrey and Steven Rose (Nov. 2, 2000) psychology
9725
https://en.wikipedia.org/wiki/Ecuador%E2%80%93United%20States%20relations
Ecuador–United States relations
Ecuador and the United States maintained close ties based on mutual interests in maintaining democratic institutions; combating cannabis and cocaine; building trade, investment, and financial ties; cooperating in fostering Ecuador's economic development; and participating in inter-American organizations. Ties are further strengthened by the presence of an estimated 150,000-200,000 Ecuadorians living in the United States and by 24,000 U.S. citizens visiting Ecuador annually, and by approximately 15,000 U.S. citizens living in Ecuador. Relations between the two nations have been strained following Julian Assange's bid to seek political asylum in the Ecuadorian embassy in London following repeated claims that the US government was pursuing his extradition due to his work with Wikileaks. Ecuador first offered political asylum to Julian Assange in November 2010. Which he then invoked by entering their London Embassy in June 2012. This was then revoked in 2019, following negotiations between the Moreno administration and the British Government. History Both nations are signatories of the Inter-American Treaty of Reciprocal Assistance (the Rio Treaty) of 1947, the Western Hemisphere's regional mutual security treaty. Ecuador shares U.S. concern over increasing narcotrafficking and international terrorism and has energetically condemned terrorist actions, whether directed against government officials or private citizens. The government has maintained Ecuador virtually free of coca production since the mid-1980s and is working to combat money laundering and the transhipment of drugs and chemicals essential to the processing of cocaine. Ecuador and the U.S. agreed in 1999 to a 10-year arrangement whereby U.S. military surveillance aircraft could use the airbase at Manta, Ecuador, as a Forward Operating Location to detect drug trafficking flights through the region. The arrangement expired in 2009; former president Rafael Correa vowed not to renew it, and since then the Ecuador has not had any foreign military facilities in the country. In fisheries issues, the United States claims jurisdiction for the management of coastal fisheries up to 200 mile (370 km) from its coast, but excludes highly migratory species; Ecuador, on the other hand, claims a 200-mile (370-km) territorial sea, and imposes license fees and fines on foreign fishing vessels in the area, making no exceptions for catches of migratory species. In the early 1970s, Ecuador seized about 100 foreign-flag vessels (many of them U.S.) and collected fees and fines of more than $6 million. After a drop-off in such seizures for some years, several U.S. tuna boats were again detained and seized in 1980 and 1981. The U.S. Magnuson Fishery Conservation and Management Act then triggered an automatic prohibition of U.S. imports of tuna products from Ecuador. The prohibition was lifted in 1983, and although fundamental differences between U.S. and Ecuadorian legislation still exist, there is no current conflict. During the period that has elapsed since seizures which triggered the tuna import ban, successive Ecuadorian governments have declared their willingness to explore possible solutions to this problem with mutual respect for longstanding positions and principles of both sides. The election of Rafael Correa in October 2006, has strained relations between the two countries and relations have since been fraught with tension. Rafael Correa is quite critical of U.S. foreign policy. In April 2011, relations between Ecuador and the United States soured particularly after Ecuador expelled the U.S. ambassador after a leaked diplomatic cable was shown accusing president Correa of knowingly ignoring police corruption. In reciprocation, the Ecuadorian ambassador Luis Gallegos was expelled from the United States. In 2013, when Ecuador unilaterally pulled out of a preferential trade pact with the United States over claiming the U.S. used it as blackmail in regards to the asylum request of Edward Snowden, relations between Ecuador and the United States reached an all-time low. The pact offered Ecuador US$23 million, which it offered to the U.S. for human rights training. Tariff free imports had been offered to Ecuador in exchange for drug elimination efforts. Julian Assange applied for Ecuadorian citizenship on 16 September 2017, which Ecuador granted on 12 December 2017. However, this development was not announced until 25 January 2018. In April 2019, Assange was arrested by the Metropolitan Police. President of Ecuador, Lenin Moreno, stated that he had 'violated the terms of his asylum'. British Foreign Secretary, Jeremy Hunt stated that the British and Ecuadorian governments had been co-operating since Moreno's inauguration and aimed to resolve the situation. Assange extradition to the United States was denied, due to a combination of his ill health and the nature of the US carceral system. The relations with the United States improved significantly during the presidency of Lenin Moreno since 2017. In February 2020, his visit to Washington was the first meeting between an Ecuadorian and U.S. president in 17 years. In June 2019, Ecuador had agreed to allow US military planes to operate from an airport on the Galapagos Islands. Education American schools in Ecuador: Colegio Americano de Quito Inter-American Academy of Guayaquil Academia Cotopaxi - American International school Alliance Academy International See also Latin America–United States relations References Further reading Mumford, Jeremy. "Ecuadorian Americans." Gale Encyclopedia of Multicultural America, edited by Thomas Riggs, (3rd ed., vol. 2, Gale, 2014), pp. 47–60. online Pineo, Ronn F. Ecuador and the United States: Useful Strangers (University of Georgia Press, 2007). Pribilsky, Jason. La Chulla Vida: Gender, Migration and the Family in Andean Ecuador and New York City (Syracuse University Press, 2007). External links History of Ecuador - United States relations - U.S. State Department Fact Sheet on U.S. Ecuador relations Ecuador News newspaper Bilateral relations of the United States United States
9736
https://en.wikipedia.org/wiki/Empire%20State%20Building
Empire State Building
The Empire State Building is a 102-story Art Deco skyscraper in Midtown Manhattan in New York City, United States. It was designed by Shreve, Lamb & Harmon and built from 1930 to 1931. Its name is derived from "Empire State", the nickname of the state of New York. The building has a roof height of and stands a total of tall, including its antenna. The Empire State Building stood as the world's tallest building until the construction of the World Trade Center in 1970; following the latter's collapse in 2001, the Empire State Building was again the city's tallest skyscraper until 2012. , the building is the seventh-tallest building in New York City, the ninth-tallest completed skyscraper in the United States, the 49th-tallest in the world, and the sixth-tallest freestanding structure in the Americas. The site of the Empire State Building, in Midtown South on the west side of Fifth Avenue between West 33rd and 34th Streets, was developed in 1893 as the Waldorf–Astoria Hotel. In 1929, Empire State Inc. acquired the site and devised plans for a skyscraper there. The design for the Empire State Building was changed fifteen times until it was ensured to be the world's tallest building. Construction started on March 17, 1930, and the building opened thirteen and a half months afterward on May 1, 1931. Despite favorable publicity related to the building's construction, because of the Great Depression and World War II, its owners did not make a profit until the early 1950s. The building's Art Deco architecture, height, and observation decks have made it a popular attraction. Around four million tourists from around the world annually visit the building's 86th- and 102nd-floor observatories; an additional indoor observatory on the 80th floor opened in 2019. The Empire State Building is an American cultural icon: it has been featured in more than 250 TV shows and movies since the film King Kong was released in 1933. The building's size has become the global standard of reference to describe the height and length of other structures. A symbol of New York City, the building has been named as one of the Seven Wonders of the Modern World by the American Society of Civil Engineers. It was ranked first on the American Institute of Architects' List of America's Favorite Architecture in 2007. Additionally, the Empire State Building and its ground-floor interior were designated city landmarks by the New York City Landmarks Preservation Commission in 1980, and were added to the National Register of Historic Places as a National Historic Landmark in 1986. Site The Empire State Building is located on the west side of Fifth Avenue in Manhattan, between 33rd Street to the south and 34th Street to the north. Tenants enter the building through the Art Deco lobby located at 350 Fifth Avenue. Visitors to the observatories use an entrance at 20 West 34th Street; prior to August 2018, visitors entered through the Fifth Avenue lobby. Although physically located in South Midtown, a mixed residential and commercial area, the building is so large that it was assigned its own ZIP Code, 10118; , it is one of 43 buildings in New York City that have their own ZIP codes. The areas surrounding the Empire State Building are home to other major points of interest, including Macy's at Herald Square on Sixth Avenue and 34th Street, Koreatown on 32nd Street between Madison and Sixth Avenues, Penn Station and Madison Square Garden on Seventh Avenue between 32nd and 34th Streets, and the Flower District on 28th Street between Sixth and Seventh Avenues. The nearest New York City Subway stations are 34th Street–Penn Station at Seventh Avenue, two blocks west; 34th Street–Herald Square, one block west; and 33rd Street at Park Avenue, two blocks east. There is also a PATH station at 33rd Street and Sixth Avenue. To the east of the Empire State Building is Murray Hill, a neighborhood with a mix of residential, commercial, and entertainment activity. The block directly to the northeast contains the B. Altman and Company Building, which houses the City University of New York's Graduate Center, while the Demarest Building is directly across Fifth Avenue to the east. History The site was previously owned by John Jacob Astor of the prominent Astor family, who had owned the site since the mid-1820s. In 1893, John Jacob Astor Sr.'s grandson William Waldorf Astor opened the Waldorf Hotel on the site; four years later, his cousin, John Jacob Astor IV, opened the 16-story Astoria Hotel on an adjacent site. The two portions of the Waldorf–Astoria hotel had 1,300 bedrooms, making it the largest hotel in the world at the time. After the death of its founding proprietor, George Boldt, in early 1918, the hotel lease was purchased by Thomas Coleman du Pont. By the 1920s, the old Waldorf–Astoria was becoming dated and the elegant social life of New York had moved much farther north than 34th Street. The Astor family decided to build a replacement hotel further uptown, and sold the hotel to Bethlehem Engineering Corporation in 1928 for $14–16 million. The hotel closed shortly thereafter, on May 3, 1929. Planning process Early plans Bethlehem Engineering Corporation originally intended to build a 25-story office building on the Waldorf–Astoria site. The company's president, Floyd De L. Brown, paid $100,000 of the $1 million down payment required to start construction on the building, with the promise that the difference would be paid later. Brown borrowed $900,000 from a bank, but then defaulted on the loan. After Brown was unable to secure additional funding, the land was resold to Empire State Inc., a group of wealthy investors that included Louis G. Kaufman, Ellis P. Earle, John J. Raskob, Coleman du Pont, and Pierre S. du Pont. The name came from the state nickname for New York. Alfred E. Smith, a former Governor of New York and U.S. presidential candidate whose 1928 campaign had been managed by Raskob, was appointed head of the company. The group also purchased nearby land so they would have the needed for the base, with the combined plot measuring wide by long. The Empire State Inc. consortium was announced to the public in August 1929. Concurrently, Smith announced the construction of an 80-story building on the site, to be taller than any other buildings in existence. Empire State Inc. contracted William F. Lamb, of architectural firm Shreve, Lamb and Harmon, to create the building design. Lamb produced the building drawings in just two weeks using the firm's earlier designs for the Reynolds Building in Winston-Salem, North Carolina as the basis. Concurrently, Lamb's partner Richmond Shreve created "bug diagrams" of the project requirements. The 1916 Zoning Act forced Lamb to design a structure that incorporated setbacks resulting in the lower floors being larger than the upper floors. Consequently, the building was designed from the top down, giving it a "pencil"-like shape. The plans were devised within a budget of $50 million and a stipulation that the building be ready for occupancy within 18 months of the start of construction. Design changes The original plan of the building was 50 stories, but was later increased to 60 and then 80 stories. Height restrictions were placed on nearby buildings to ensure that the top fifty floors of the planned 80-story, building would have unobstructed views of the city. The New York Times lauded the site's proximity to mass transit, with the Brooklyn–Manhattan Transit's 34th Street station and the Hudson and Manhattan Railroad's 33rd Street terminal one block away, as well as Penn Station two blocks away and the Grand Central Terminal nine blocks away at its closest. It also praised the of proposed floor space near "one of the busiest sections in the world". While plans for the Empire State Building were being finalized, an intense competition in New York for the title of "world's tallest building" was underway. 40 Wall Street (then the Bank of Manhattan Building) and the Chrysler Building in Manhattan both vied for this distinction and were already under construction when work began on the Empire State Building. The "Race into the Sky", as popular media called it at the time, was representative of the country's optimism in the 1920s, fueled by the building boom in major cities. The race was defined by at least five other proposals, although only the Empire State Building would survive the Wall Street Crash of 1929. The 40 Wall Street tower was revised, in April 1929, from to making it the world's tallest. The Chrysler Building added its steel tip to its roof in October 1929, thus bringing it to a height of and greatly exceeding the height of 40 Wall Street. The Chrysler Building's developer, Walter Chrysler, realized that his tower's height would exceed the Empire State Building's as well, having instructed his architect, William Van Alen, to change the Chrysler's original roof from a stubby Romanesque dome to a narrow steel spire. Raskob, wishing to have the Empire State Building be the world's tallest, reviewed the plans and had five floors added as well as a spire; however, the new floors would need to be set back because of projected wind pressure on the extension. On November 18, 1929, Smith acquired a lot at 27–31 West 33rd Street, adding to the width of the proposed office building's site. Two days later, Smith announced the updated plans for the skyscraper. The plans included an observation deck on the 86th-floor roof at a height of , higher than the Chrysler's 71st-floor observation deck. The 1,050-foot Empire State Building would only be taller than the Chrysler Building, and Raskob was afraid that Chrysler might try to "pull a trick like hiding a rod in the spire and then sticking it up at the last minute." The plans were revised one last time in December 1929, to include a 16-story, metal "crown" and an additional mooring mast intended for dirigibles. The roof height was now , making it the tallest building in the world by far, even without the antenna. The addition of the dirigible station meant that another floor, the now-enclosed 86th floor, would have to be built below the crown; however, unlike the Chrysler's spire, the Empire State's mast would serve a practical purpose. A revised plan was announced to the public in late December 1929, just before the start of construction. The final plan was sketched within two hours, the night before the plan was supposed to be presented to the site's owners in January 1930. The New York Times reported that the spire was facing some "technical problems", but they were "no greater than might be expected under such a novel plan." By this time the blueprints for the building had gone through up to fifteen versions before they were approved. Lamb described the other specifications he was given for the final, approved plan: The contractors were Starrett Brothers and Eken, Paul and William A. Starrett and Andrew J. Eken, who would later construct other New York City buildings such as Stuyvesant Town, Starrett City and Trump Tower. The project was financed primarily by Raskob and Pierre du Pont, while James Farley's General Builders Supply Corporation supplied the building materials. John W. Bowser was the construction superintendent of the project, and the structural engineer of the building was Homer G. Balcom. The tight completion schedule necessitated the commencement of construction even though the design had yet to be finalized. Construction Hotel demolition Demolition of the old Waldorf–Astoria began on October 1, 1929. Stripping the building down was an arduous process, as the hotel had been constructed using more rigid material than earlier buildings had been. Furthermore, the old hotel's granite, wood chips, and "'precious' metals such as lead, brass, and zinc" were not in high demand resulting in issues with disposal. Most of the wood was deposited into a woodpile on nearby 30th Street or was burned in a swamp elsewhere. Much of the other materials that made up the old hotel, including the granite and bronze, were dumped into the Atlantic Ocean near Sandy Hook, New Jersey. By the time the hotel's demolition started, Raskob had secured the required funding for the construction of the building. The plan was to start construction later that year but, on October 24, the New York Stock Exchange experienced the major and sudden Wall Street Crash, marking the beginning of the decade-long Great Depression. Despite the economic downturn, Raskob refused to cancel the project because of the progress that had been made up to that point. Neither Raskob, who had ceased speculation in the stock market the previous year, nor Smith, who had no stock investments, suffered financially in the crash. However, most of the investors were affected and as a result, in December 1929, Empire State Inc. obtained a $27.5 million loan from Metropolitan Life Insurance Company so construction could begin. The stock market crash resulted in no demand for new office space; Raskob and Smith nonetheless started construction, as canceling the project would have resulted in greater losses for the investors. Steel structure A structural steel contract was awarded on January 12, 1930, with excavation of the site beginning ten days later on January 22, before the old hotel had been completely demolished. Two twelve-hour shifts, consisting of 300 men each, worked continuously to dig the foundation. Small pier holes were sunk into the ground to house the concrete footings that would support the steelwork. Excavation was nearly complete by early March, and construction on the building itself started on March 17, with the builders placing the first steel columns on the completed footings before the rest of the footings had been finished. Around this time, Lamb held a press conference on the building plans. He described the reflective steel panels parallel to the windows, the large-block Indiana Limestone facade that was slightly more expensive than smaller bricks, and the building's vertical lines. Four colossal columns, intended for installation in the center of the building site, were delivered; they would support a combined when the building was finished. The structural steel was pre-ordered and pre-fabricated in anticipation of a revision to the city's building code that would have allowed the Empire State Building's structural steel to carry , up from , thus reducing the amount of steel needed for the building. Although the 18,000-psi regulation had been safely enacted in other cities, Mayor Jimmy Walker did not sign the new codes into law until March 26, 1930, just before construction was due to commence. The first steel framework was installed on April 1, 1930. From there, construction proceeded at a rapid pace; during one stretch of 10 working days, the builders erected fourteen floors. This was made possible through precise coordination of the building's planning, as well as the mass production of common materials such as windows and spandrels. On one occasion, when a supplier could not provide timely delivery of dark Hauteville marble, Starrett switched to using Rose Famosa marble from a German quarry that was purchased specifically to provide the project with sufficient marble. The scale of the project was massive, with trucks carrying "16,000 partition tiles, 5,000 bags of cement, of sand and 300 bags of lime" arriving at the construction site every day. There were also cafes and concession stands on five of the incomplete floors so workers did not have to descend to the ground level to eat lunch. Temporary water taps were also built so workers did not waste time buying water bottles from the ground level. Additionally, carts running on a small railway system transported materials from the basement storage to elevators that brought the carts to the desired floors where they would then be distributed throughout that level using another set of tracks. The of steel ordered for the project was the largest-ever single order of steel at the time, comprising more steel than was ordered for the Chrysler Building and 40 Wall Street combined. According to historian John Tauranac, building materials were sourced from numerous, and distant, sources with "limestone from Indiana, steel girders from Pittsburgh, cement and mortar from upper New York State, marble from Italy, France, and England, wood from northern and Pacific Coast forests, [and] hardware from New England." The facade, too, used a variety of material, most prominently Indiana limestone but also Swedish black granite, terracotta, and brick. By June 20, the skyscraper's supporting steel structure had risen to the 26th floor, and by July 27, half of the steel structure had been completed. Starrett Bros. and Eken endeavored to build one floor a day in order to speed up construction, a goal that they almost reached with their pace of stories per week; prior to this, the fastest pace of construction for a building of similar height had been stories per week. While construction progressed, the final designs for the floors were being designed from the ground up (as opposed to the general design, which had been from the roof down). Some of the levels were still undergoing final approval, with several orders placed within an hour of a plan being finalized. On September 10, as steelwork was nearing completion, Smith laid the building's cornerstone during a ceremony attended by thousands. The stone contained a box with contemporary artifacts including the previous day's New York Times, a U.S. currency set containing all denominations of notes and coins minted in 1930, a history of the site and building, and photographs of the people involved in construction. The steel structure was topped out at on September 19, twelve days ahead of schedule and 23 weeks after the start of construction. Workers raised a flag atop the 86th floor to signify this milestone. Completion and scale Afterward, work on the building's interior and crowning mast commenced. The mooring mast topped out on November 21, two months after the steelwork had been completed. Meanwhile, work on the walls and interior was progressing at a quick pace, with exterior walls built up to the 75th floor by the time steelwork had been built to the 95th floor. The majority of the facade was already finished by the middle of November. Because of the building's height, it was deemed infeasible to have many elevators or large elevator cabins, so the builders contracted with the Otis Elevator Company to make 66 cars that could speed at , which represented the largest-ever elevator order at the time. In addition to the time constraint builders had, there were also space limitations because construction materials had to be delivered quickly, and trucks needed to drop off these materials without congesting traffic. This was solved by creating a temporary driveway for the trucks between 33rd and 34th Streets, and then storing the materials in the building's first floor and basements. Concrete mixers, brick hoppers, and stone hoists inside the building ensured that materials would be able to ascend quickly and without endangering or inconveniencing the public. At one point, over 200 trucks made material deliveries at the building site every day. A series of relay and erection derricks, placed on platforms erected near the building, lifted the steel from the trucks below and installed the beams at the appropriate locations. The Empire State Building was structurally completed on April 11, 1931, twelve days ahead of schedule and 410 days after construction commenced. Al Smith shot the final rivet, which was made of solid gold. The project involved more than 3,500 workers at its peak, including 3,439 on a single day, August 14, 1930. Many of the workers were Irish and Italian immigrants, with a sizable minority of Mohawk ironworkers from the Kahnawake reserve near Montreal. According to official accounts, five workers died during the construction, although the New York Daily News gave reports of 14 deaths and a headline in the socialist magazine The New Masses spread unfounded rumors of up to 42 deaths. The Empire State Building cost $40,948,900 to build (equivalent to $ in ), including demolition of the Waldorf–Astoria. This was lower than the $60 million budgeted for construction. Lewis Hine captured many photographs of the construction, documenting not only the work itself but also providing insight into the daily life of workers in that era. Hine's images were used extensively by the media to publish daily press releases. According to the writer Jim Rasenberger, Hine "climbed out onto the steel with the ironworkers and dangled from a derrick cable hundreds of feet above the city to capture, as no one ever had before (or has since), the dizzy work of building skyscrapers". In Rasenberger's words, Hine turned what might have been an assignment of "corporate flak" into "exhilarating art". These images were later organized into their own collection. Onlookers were enraptured by the sheer height at which the steelworkers operated. New York magazine wrote of the steelworkers: "Like little spiders they toiled, spinning a fabric of steel against the sky". Opening and early years The Empire State Building officially opened on May 1, 1931, forty-five days ahead of its projected opening date, and eighteen months from the start of construction. The opening was marked with an event featuring United States President Herbert Hoover, who turned on the building's lights with the ceremonial button push from Washington, D.C. Over 350 guests attended the opening ceremony, and following luncheon, at the 86th floor including Jimmy Walker, Governor Franklin D. Roosevelt, and Al Smith. An account from that day stated that the view from the luncheon was obscured by a fog, with other landmarks such as the Statue of Liberty being "lost in the mist" enveloping New York City. The Empire State Building officially opened the next day. Advertisements for the building's observatories were placed in local newspapers, while nearby hotels also capitalized on the events by releasing advertisements that lauded their proximity to the newly opened building. According to The New York Times, builders and real estate speculators predicted that the Empire State Building would be the world's tallest building "for many years", thus ending the great New York City skyscraper rivalry. At the time, most engineers agreed that it would be difficult to build a building taller than , even with the hardy Manhattan bedrock as a foundation. Technically, it was believed possible to build a tower of up to , but it was deemed uneconomical to do so, especially during the Great Depression. As the tallest building in the world, at that time, and the first one to exceed 100 floors, the Empire State Building became an icon of the city and, ultimately, of the nation. In 1932, the Fifth Avenue Association gave the building its 1931 "gold medal" for architectural excellence, signifying that the Empire State had been the best-designed building on Fifth Avenue to open in 1931. A year later, on March 2, 1933, the movie King Kong was released. The movie, which depicted a large stop motion ape named Kong climbing the Empire State Building, made the still-new building into a cinematic icon. Tenants and tourism The Empire State Building's opening coincided with the Great Depression in the United States, and as a result much of its office space was vacant from its opening. In the first year, only 23% of the available space was rented, as compared to the early 1920s, where the average building would have occupancy of 52% upon opening and 90% rented within five years. The lack of renters led New Yorkers to deride the building as the "Empty State Building. or "Smith's Folly". The earliest tenants in the Empire State Building were large companies, banks, and garment industries. Jack Brod, one of the building's longest resident tenants, co-established the Empire Diamond Corporation with his father in the building in mid-1931 and rented space in the building until he died in 2008. Brod recalled that there were only about 20 tenants at the time of opening, including him, and that Al Smith was the only real tenant in the space above his seventh-floor offices. Generally, during the early 1930s, it was rare for more than a single office space to be rented in the building, despite Smith's and Raskob's aggressive marketing efforts in the newspapers and to anyone they knew. The building's lights were continuously left on, even in the unrented spaces, to give the impression of occupancy. This was exacerbated by competition from Rockefeller Center as well as from buildings on 42nd Street, which, when combined with the Empire State Building, resulted in surplus of office space in a slow market during the 1930s. Aggressive marketing efforts served to reinforce the Empire State Building's status as the world's tallest. The observatory was advertised in local newspapers as well as on railroad tickets. The building became a popular tourist attraction, with one million people each paying one dollar to ride elevators to the observation decks in 1931. In its first year of operation, the observation deck made approximately $2 million in revenue, as much as its owners made in rent that year. By 1936, the observation deck was crowded on a daily basis, with food and drink available for purchase at the top, and by 1944 the building had received its five-millionth visitor. In 1931, NBC took up tenancy, leasing space on the 85th floor for radio broadcasts. From the outset the building was in debt, losing $1 million per year by 1935. Real estate developer Seymour Durst recalled that the building was so underused in 1936 that there was no elevator service above the 45th floor, as the building above the 41st floor was empty except for the NBC offices and the Raskob/Du Pont offices on the 81st floor. Other events Per the original plans, the Empire State Building's spire was intended to be an airship docking station. Raskob and Smith had proposed dirigible ticketing offices and passenger waiting rooms on the 86th floor, while the airships themselves would be tied to the spire at the equivalent of the building's 106th floor. An elevator would ferry passengers from the 86th to the 101st floor after they had checked in on the 86th floor, after which passengers would have climbed steep ladders to board the airship. The idea, however, was impractical and dangerous due to powerful updrafts caused by the building itself, the wind currents across Manhattan, and the spires of nearby skyscrapers. Furthermore, even if the airship were to successfully navigate all these obstacles, its crew would have to jettison some ballast by releasing water onto the streets below in order to maintain stability, and then tie the craft's nose to the spire with no mooring lines securing the tail end of the craft. On September 15, 1931, a small commercial United States Navy airship circled 25 times in winds. The airship then attempted to dock at the mast, but its ballast spilled and the craft was rocked by unpredictable eddies. The near-disaster scuttled plans to turn the building's spire into an airship terminal, although one blimp did manage to make a single newspaper delivery afterward. On July 28, 1945, a B-25 Mitchell bomber crashed into the north side of the Empire State Building, between the 79th and 80th floors. One engine completely penetrated the building and landed in a neighboring block, while the other engine and part of the landing gear plummeted down an elevator shaft. Fourteen people were killed in the incident, but the building escaped severe damage and was reopened two days later. Profitability The Empire State Building only started becoming profitable in the 1950s, when it was finally able to break even for the first time. At the time, mass transit options in the building's vicinity were limited compared to the present day. Despite this challenge, the Empire State Building began to attract renters due to its reputation. A radio antenna was erected on top of the towers starting in 1950, allowing the area's television stations to be broadcast from the building. However, despite the turnaround in the building's fortunes, Raskob listed it for sale in 1951, with a minimum asking price of $50 million. The property was purchased by business partners Roger L. Stevens, Henry Crown, Alfred R. Glancy and Ben Tobin. The sale was brokered by the Charles F. Noyes Company, a prominent real estate firm in upper Manhattan, for $51 million, the highest price paid for a single structure at the time. By this time, the Empire State had been fully leased for several years with a waiting list of parties looking to lease space in the building, according to the Cortland Standard. That same year, six news companies formed a partnership to pay a combined annual fee of $600,000 to use the building's antenna, which was completed in 1953. Crown bought out his partners' ownership stakes in 1954, becoming the sole owner. The following year, the American Society of Civil Engineers named the building one of the "Seven Modern Civil Engineering Wonders". In 1961, Lawrence A. Wien signed a contract to purchase the Empire State Building for $65 million, with Harry B. Helmsley acting as partners in the building's operating lease. This became the new highest price for a single structure. Over 3,000 people paid $10,000 for one share each in a company called Empire State Building Associates. The company in turn subleased the building to another company headed by Helmsley and Wien, raising $33 million of the funds needed to pay the purchase price. In a separate transaction, the land underneath the building was sold to Prudential Insurance for $29 million. Helmsley, Wien, and Peter Malkin quickly started a program of minor improvement projects, including the first-ever full-building facade refurbishment and window-washing in 1962, the installation of new flood lights on the 72nd floor in 1964, and replacement of the manually operated elevators with automatic units in 1966. The little-used western end of the second floor was used as a storage space until 1964, at which point it received escalators to the first floor as part of its conversion into a highly sought retail area. Loss of "tallest building" title In 1961, the same year that Helmsley, Wien, and Malkin had purchased the Empire State Building, the Port Authority of New York and New Jersey formally backed plans for a new World Trade Center in Lower Manhattan. The plan originally included 66-story twin towers with column-free open spaces. The Empire State's owners and real estate speculators were worried that the twin towers' of office space would create a glut of rentable space in Manhattan as well as take away the Empire State Building's profits from lessees. A revision in the World Trade Center's plan brought the twin towers to each or 110 stories, taller than the Empire State. Opponents of the new project included prominent real-estate developer Robert Tishman, as well as Wien's Committee for a Reasonable World Trade Center. In response to Wien's opposition, Port Authority executive director Austin J. Tobin said that Wien was only opposing the project because it would overshadow his Empire State Building as the world's tallest building. The World Trade Center's twin towers started construction in 1966. The following year, the Ostankino Tower succeeded the Empire State Building as the tallest freestanding structure in the world. In 1970, the Empire State surrendered its position as the world's tallest building, when the World Trade Center's still-under-construction North Tower surpassed it, on October 19; the North Tower was topped out on December 23, 1970. In December 1975, the observation deck was opened on the 110th floor of the Twin Towers, significantly higher than the 86th floor observatory on the Empire State Building. The latter was also losing revenue during this period, particularly as a number of broadcast stations had moved to the World Trade Center in 1971; although the Port Authority continued to pay the broadcasting leases for the Empire State until 1984. The Empire State Building was still seen as prestigious, having seen its forty-millionth visitor in March 1971. 1980s and 1990s By 1980, there were nearly two million annual visitors, although a building official had previously estimated between 1.5 million and 1.75 million annual visitors. The building received its own ZIP code in May 1980 in a roll out of 63 new postal codes in Manhattan. At the time, its tenants collectively received 35,000 pieces of mail daily. The Empire State Building celebrated its 50th anniversary on May 1, 1981, with a much-publicized, but poorly received, laser light show, as well as an "Empire State Building Week" that ran through to May 8. The New York City Landmarks Preservation Commission voted to make the lobby a city landmark on May 19, 1981, citing the historic nature of the first and second floors, as well as "the fixtures and interior components" of the upper floors. The building became a National Historic Landmark in 1986 in close alignment to the New York City Landmarks report. The Empire State Building was added to the National Register of Historic Places the following year due to its architectural significance. Capital improvements were made to the Empire State Building during the early to mid-1990s at a cost of $55 million. These improvements entailed replacing alarm systems, elevators, windows, and air conditioning; making the observation deck compliant with the Americans with Disabilities Act of 1990 (ADA); and refurbishing the limestone facade. The observatory renovation was added after disability rights groups and the United States Department of Justice filed a lawsuit against the building in 1992, in what was the first lawsuit filed by an organization under the new law. A settlement was reached in 1994, in which the Empire State Building Associates agreed to add ADA-compliant elements, such as new elevators, ramps, and automatic doors, during its ongoing renovation. Prudential sold the land under the building in 1991 for $42 million to a buyer representing hotelier , who was imprisoned at the time in connection with the deadly at the in Tokyo. In 1994, Donald Trump entered into a joint-venture agreement with Yokoi, with a shared goal of breaking the Empire State Building's lease on the land in an effort to gain total ownership of the building so that, if successful, the two could reap the potential profits of merging the ownership of the building with the land beneath it. Having secured a half-ownership of the land, Trump devised plans to take ownership of the building itself so he could renovate it, even though Helmsley and Malkin had already started their refurbishment project. He sued Empire State Building Associates in February 1995, claiming that the latter had caused the building to become a "high-rise slum" and a "second-rate, rodent-infested" office tower. Trump had intended to have Empire State Building Associates evicted for violating the terms of their lease, but was denied. This led to Helmsley's companies countersuing Trump in May. This sparked a series of lawsuits and countersuits that lasted several years, partly arising from Trump's desire to obtain the building's master lease by taking it from Empire State Building Associates. Upon Harry Helmsley's death in 1997, the Malkins sued Helmsley's widow, Leona Helmsley, for control of the building. 21st century 2000s Following the destruction of the World Trade Center during the September 11 attacks in 2001, the Empire State Building again became the tallest building in New York City, but was only the second-tallest building in the Americas after the Sears (later Willis) Tower in Chicago. As a result of the attacks, transmissions from nearly all of the city's commercial television and FM radio stations were again broadcast from the Empire State Building. The attacks also led to an increase in security due to persistent terror threats against prominent sites in New York City. In 2002, Trump and Yokoi sold their land claim to the Empire State Building Associates, now headed by Malkin, in a $57.5 million sale. This action merged the building's title and lease for the first time in half a century. Despite the lingering threat posed by the 9/11 attacks, the Empire State Building remained popular with 3.5 million visitors to the observatories in 2004, compared to about 2.8 million in 2003. Even though she maintained her ownership stake in the building until the post-consolidation IPO in October 2013, Leona Helmsley handed over day-to-day operations of the building in 2006 to Peter Malkin's company. In 2008, the building was temporarily "stolen" by the New York Daily News to show how easy it was to transfer the deed on a property, since city clerks were not required to validate the submitted information, as well as to help demonstrate how fraudulent deeds could be used to obtain large mortgages and then have individuals disappear with the money. The paperwork submitted to the city included the names of Fay Wray, the famous star of King Kong, and Willie Sutton, a notorious New York bank robber. The newspaper then transferred the deed back over to the legitimate owners, who at that time were Empire State Land Associates. 2010s Starting in 2009, the building's public areas received a $550 million renovation, with improvements to the air conditioning and waterproofing, renovations to the observation deck and main lobby, and relocation of the gift shop to the 80th floor. About $120 million was spent on improving the energy efficiency of the building, with the goal of reducing energy emissions by 38% within five years. For example, all of the windows were refurbished onsite into film-coated "superwindows" which block heat but pass light. Air conditioning operating costs on hot days were reduced, saving $17 million of the project's capital cost immediately and partially funding some of the other retrofits. The Empire State Building won the Leadership in Energy and Environmental Design (LEED) Gold for Existing Buildings rating in September 2011, as well as the World Federation of Great Towers' Excellence in Environment Award for 2010. For the LEED Gold certification, the building's energy reduction was considered, as was a large purchase of carbon offsets. Other factors included low-flow bathroom fixtures, green cleaning supplies, and use of recycled paper products. On April 30, 2012, One World Trade Center topped out, taking the Empire State Building's record of tallest in the city. By 2014, the building was owned by the Empire State Realty Trust (ESRT), with Anthony Malkin as chairman, CEO, and president. The ESRT was a public company, having begun trading publicly on the New York Stock Exchange the previous year. In August 2016, the Qatar Investment Authority (QIA) was issued new fully diluted shares equivalent to 9.9% of the trust; this investment gave them partial ownership of the entirety of the ESRT's portfolio, and as a result, partial ownership of the Empire State Building. The trust's president John Kessler called it an "endorsement of the company's irreplaceable assets". The investment has been described by the real-estate magazine The Real Deal as "an unusual move for a sovereign wealth fund", as these funds typically buy direct stakes in buildings rather than real estate companies. Other foreign entities that have a stake in the ESRT include investors from Norway, Japan, and Australia. A renovation of the Empire State Building was commenced in the 2010s to further improve energy efficiency, public areas, and amenities. In August 2018, to improve the flow of visitor traffic, the main visitor's entrance was shifted to 20 West 34th Street as part of a major renovation of the observatory lobby. The new lobby includes several technological features, including large LED panels, digital ticket kiosks in nine languages, and a two-story architectural model of the building surrounded by two metal staircases. The first phase of the renovation, completed in 2019, features an updated exterior lighting system and digital hosts. The new lobby also features free Wi-Fi provided for those waiting. A exhibit with nine galleries, opened in July 2019. The 102nd floor observatory, the third phase of the redesign, re-opened to the public on October 12, 2019. That portion of the project included outfitting the space with floor-to-ceiling glass windows and a brand-new glass elevator. The final portion of the renovations to be completed was a new observatory on the 80th floor, which opened on December 2, 2019. In total, the renovation had cost $165 million and taken four years to finish. Design The Empire State Building is tall to its 102nd floor, or including its pinnacle. The building has 86 usable stories; the first through 85th floors contain of commercial and office space, while the 86th story contains an observatory. The remaining 16 stories are part of the Art Deco spire, which is capped by an observatory on the 102nd floor; the spire does not contain any intermediate levels and is used mostly for mechanical purposes. Atop the 102nd story is the pinnacle, much of which is covered by broadcast antennas, and surmounted with a lightning rod. It was the first building to have more than 100 floors. The building has been named one of the Seven Wonders of the Modern World by the American Society of Civil Engineers. The building and its street floor interior are designated landmarks of the New York City Landmarks Preservation Commission, and confirmed by the New York City Board of Estimate. It was designated as a National Historic Landmark in 1986. In 2007, it was first on the AIA's List of America's Favorite Architecture. Form The Empire State Building has a symmetrical massing, or shape, because of its large lot and relatively short base. The five-story base occupies the entire lot, while the 81-story tower above it is set back sharply from the base. There are smaller setbacks on the upper stories, allowing sunlight to illuminate the interiors of the top floors, and positioning these floors away from the noisy streets below. The setbacks are located at the 21st, 25th, 30th, 72nd, 81st, and 85th stories. The setbacks were mandated per the 1916 Zoning Resolution, which was intended to allow sunlight to reach the streets as well. Normally, a building of the Empire State's dimensions would be permitted to build up to 12 stories on the Fifth Avenue side, and up to 17 stories on the 33rd/34th Streets side, before it would have to utilize setbacks. However, with the largest setback being located above the base, the tower stories could contain a uniform shape. According to architectural writer Robert A. M. Stern, the building's form contrasted with the nearly contemporary, similarly designed 500 Fifth Avenue eight blocks north, which had an asymmetrical massing on a smaller lot. Facade The Empire State Building's art deco design is typical of pre–World War II architecture in New York. The facade is clad in Indiana limestone panels sourced from the Empire Mill in Sanders, Indiana, which give the building its signature blonde color. According to official fact sheets, the facade uses of limestone and granite, ten million bricks, and of aluminum and stainless steel. The building also contains 6,514 windows. The main entrance, composed of three sets of metal doors, is at the center of the Fifth Avenue facade's elevation, flanked by molded piers that are topped with eagles. Above the main entrance is a transom, a triple-height transom window with geometric patterns, and the golden letters above the fifth-floor windows. There are two entrances each on 33rd and 34th Streets, with modernistic, stainless steel canopies projecting from the entrances on 33rd and 34th Streets there. Above the secondary entrances are triple windows, less elaborate in design than those on Fifth Avenue. The storefronts on the first floor contain aluminum-framed doors and windows within a black granite cladding. The second through fourth stories consist of windows alternating with wide stone piers and narrower stone mullions. The fifth story contains windows alternating with wide and narrow mullions, and is topped by a horizontal stone sill. The facade of the tower stories is split into several vertical bays on each side, with windows projecting slightly from the limestone cladding. The bays are arranged into sets of one, two, or three windows on each floor. The windows in each bay are separated by vertical nickel-chrome steel mullions and connected by horizontal aluminum spandrels on each floor. Structural features The riveted steel frame of the building was originally designed to handle all of the building's gravitational stresses and wind loads. The amount of material used in the building's construction resulted in a very stiff structure when compared to other skyscrapers, with a structural stiffness of versus the Willis Tower's and the John Hancock Center's . A December 1930 feature in Popular Mechanics estimated that a building with the Empire State's dimensions would still stand even if hit with an impact of . Utilities are grouped in a central shaft. On the 6th through 86th stories, the central shaft is surrounded by a main corridor on all four sides. Per the final specifications of the building, the corridor is surrounded in turn by office space deep, maximizing office space at a time before air conditioning became commonplace. Each of the floors has 210 structural columns that pass through it, which provide structural stability, but limits the amount of open space on these floors. However, the relative dearth of stone in the building allows for more space overall, with a 1:200 stone-to-building ratio in the Empire State compared to a 1:50 ratio in similar buildings. Interior According to official fact sheets, the Empire State Building weighs and has an internal volume of . The interior required of elevator cable and of electrical wires. It has a total floor area of , and each of the floors in the base cover . This gives the building capacity for 20,000 tenants and 15,000 visitors. The building contains 73 elevators. Its original 64 elevators, built by the Otis Elevator Company, are located in a central core and are of varying heights, with the longest of these elevators reaching from the lobby to the 80th floor. As originally built, there were four "express" elevators that connected the lobby, 80th floor, and several landings in between; the other 60 "local" elevators connected the landings with the floors above these intermediate landings. Of the 64 total elevators, 58 were for passenger use (comprising the four express elevators and 54 local elevators), and eight were for freight deliveries. The elevators were designed to move at . At the time of the skyscraper's construction, their practical speed was limited to per city law, but this limit was removed shortly after the building opened. Additional elevators connect the 80th floor to the six floors above it, as the six extra floors were built after the original 80 stories were approved. The elevators were mechanically operated until 2011, when they were replaced with automatic elevators during the $550 million renovation of the building. An additional elevator connects the 86th and 102nd floor observatories, which allows visitors access the 102nd floor observatory after having their tickets scanned. It also allows employees to access the mechanical floors located between the 87th and 101st floors. The Empire State Building has 73 elevators in all, including service elevators. Lobby The original main lobby is accessed from Fifth Avenue, on the building's east side, and contains an entrance with one set of double doors between a pair of revolving doors. At the top of each doorway is a bronze motif depicting one of three "crafts or industries" used in the building's construction—Electricity, Masonry, and Heating. The lobby contains two tiers of marble, a lighter marble on the top, above the storefronts, and a darker marble on the bottom, flush with the storefronts. There is a pattern of zigzagging terrazzo tiles on the lobby floor, which leads from the entrance on the east to the aluminum relief on the west. The chapel-like three-story-high lobby, which runs parallel to 33rd and 34th Streets, contains storefronts on both its northern and southern sides. These storefronts are framed on each side by tubes of dark "modernistically rounded marble", according to the New York City Landmarks Preservation Commission, and above by a vertical band of grooves set into the marble. Immediately inside the lobby is an airport-style security checkpoint. The side entrances from 33rd and 34th Street lead to two-story-high corridors around the elevator core, crossed by stainless steel and glass-enclosed bridges at the second floor. The walls on both the northern and southern sides of the lobby house storefronts and escalators to a mezzanine level. At the west end of the lobby is an aluminum relief of the skyscraper as it was originally built (i.e. without the antenna). The relief, which was intended to provide a welcoming effect, contains an embossing of the building's outline, accompanied by what the Landmarks Preservation Commission describes as "the rays of an aluminum sun shining out behind [the building] and mingling with aluminum rays emanating from the spire of the Empire State Building". In the background is a state map of New York with the building's location marked by a "medallion" in the very southeast portion of the outline. A compass is located in the bottom right and a plaque to the building's major developers is on the bottom left. The plaque at the western end of the lobby is located on the eastern interior wall of a one-story tall rectangular-shaped corridor that surrounds the banks of escalators, with a similar design to the lobby. The rectangular-shaped corridor actually consists of two long hallways on the northern and southern sides of the rectangle, as well as a shorter hallway on the eastern side and another long hallway on the western side. At both ends of the northern and southern corridors, there is a bank of four low-rise elevators in between the corridors. The western side of the rectangular elevator-bank corridor extends north to the 34th Street entrance and south to the 33rd Street entrance. It borders three large storefronts and leads to escalators that go both to the second floor and to the basement. Going from west to east, there are secondary entrances to 34th and 33rd Streets from both the northern and southern corridors, respectively, at approximately the two-thirds point of each corridor. Until the 1960s, an art deco mural, inspired by both the sky and the Machine Age, was installed in the lobby ceilings. Subsequent damage to these murals, designed by artist Leif Neandross, resulted in reproductions being installed. Renovations to the lobby in 2009, such as replacing the clock over the information desk in the Fifth Avenue lobby with an anemometer and installing two chandeliers intended to be part of the building when it originally opened, revived much of its original grandeur. The north corridor contained eight illuminated panels created in 1963 by Roy Sparkia and Renée Nemorov, in time for the 1964 World's Fair, depicting the building as the Eighth Wonder of the World alongside the traditional seven. The building's owners installed a series of paintings by the New York artist Kysa Johnson in the concourse level. Johnson later filed a federal lawsuit, in January 2014, under the Visual Artists Rights Act alleging the negligent destruction of the paintings and damage to her reputation as an artist. As part of the building's 2010 renovation, Denise Amses commissioned a work consisting of 15,000 stars and 5,000 circles, superimposed on a etched-glass installation, in the lobby. Above the 102nd floor The final stage of the building was the installation of a hollow mast, a steel shaft fitted with elevators and utilities, above the 86th floor. At the top would be a conical roof and the 102nd-floor docking station. Inside, the elevators would ascend from the 86th floor ticket offices to a 101st-floor waiting room. From there, stairs would lead to the 102nd floor, where passengers would enter the airships. The airships would have been moored to the spire at the equivalent of the building's 106th floor. As constructed, the mast contains four rectangular tiers topped by a cylindrical shaft with a conical pinnacle. On the 102nd floor (formerly the 101st floor), there is a door with stairs ascending to the 103rd floor (formerly the 102nd). This was built as a disembarkation floor for airships tethered to the building's spire, and has a circular balcony outside. It is now an access point to reach the spire for maintenance. The room now contains electrical equipment, but celebrities and dignitaries may also be given permission to take pictures there. Above the 103rd floor, there is a set of stairs and a ladder to reach the spire for maintenance work. The mast's 480 windows were all replaced in 2015. The mast serves as the base of the building's broadcasting antenna. Broadcast stations Broadcasting began at the Empire State Building on December 22, 1931, when NBC and RCA began transmitting experimental television broadcasts from a small antenna erected atop the mast, with two separate transmitters for the visual and audio data. They leased the 85th floor and built a laboratory there. In 1934, RCA was joined by Edwin Howard Armstrong in a cooperative venture to test his FM system from the building's antenna. This setup, which entailed the installation of the world's first FM transmitter, continued only until October of the next year due to disputes between RCA and Armstrong. Specifically, NBC wanted to install more TV equipment in the room where Armstrong's transmitter was located. After some time, the 85th floor became home to RCA's New York television operations initially as experimental station W2XBS channel 1 then, from 1941, as commercial station WNBT channel 1 (now WNBC channel 4). NBC's FM station, W2XDG, began transmitting from the antenna in 1940. NBC retained exclusive use of the top of the building until 1950 when the Federal Communications Commission (FCC) ordered the exclusive deal be terminated. The FCC directive was based on consumer complaints that a common location was necessary for the seven extant New York-area television stations to transmit from so that receiving antennas would not have to be constantly adjusted. Other television broadcasters would later join RCA at the building on the 81st through 83rd floors, often along with sister FM stations. Construction of a dedicated broadcast tower began on July 27, 1950, with TV, and FM, transmissions starting in 1951. The broadcast tower was completed in 1953. From 1951, six broadcasters agreed to pay a combined $600,000 per year for the use of the antenna. In 1965, a separate set of FM antennae was constructed ringing the 103rd floor observation area to act as a master antenna. The placement of the stations in the Empire State Building became a major issue with the construction of the World Trade Center's Twin Towers in the late 1960s, and early 1970s. The greater height of the Twin Towers would reflect radio waves broadcast from the Empire State Building, eventually resulting in some broadcasters relocating to the newer towers instead of suing the developer, the Port Authority of New York and New Jersey. Even though the nine stations who were broadcasting from the Empire State Building were leasing their broadcast space until 1984, most of these stations moved to the World Trade Center as soon as it was completed in 1971. The broadcasters obtained a court order stipulating that the Port Authority had to build a mast and transmission equipment in the North Tower, as well as pay the broadcasters' leases in the Empire State Building until 1984. Only a few broadcasters renewed their leases in the Empire State Building. The September 11 attacks in 2001 destroyed the World Trade Center and the broadcast centers atop it, leaving most of the city's stations without a station for ten days until a temporary tower was built in Alpine, New Jersey. By October 2001, nearly all of the city's commercial broadcast stations (both television and FM radio) were again transmitting from the top of the Empire State Building. In a report that Congress commissioned about the transition from analog television to digital television, it was stated that the placement of broadcast stations in the Empire State Building was considered "problematic" due to interference from nearby buildings. In comparison, the congressional report stated that the former Twin Towers had very few buildings of comparable height nearby thus signals suffered little interference. In 2003, a few FM stations were relocated to the nearby Condé Nast Building to reduce the number of broadcast stations using the Empire State Building. Eleven television stations and twenty-two FM stations had signed 15-year leases in the building by May 2003. It was expected that a taller broadcast tower in Bayonne, New Jersey, or Governors Island, would be built in the meantime with the Empire State Building being used as a "backup" since signal transmissions from the building were generally of poorer quality. Following the construction of One World Trade Center in the late 2000s and early 2010s, some TV stations began moving their transmitting facilities there. , the Empire State Building is home to the following stations: Television: WABC-7, WPIX-11, WXTV-41 Paterson, and WFUT-68 Newark FM: WNYL-92.3, WPAT-93.1 Paterson, WNYC-93.9, WPLJ-95.5, WXNY-96.3, WQHT-97.1, WSKQ-97.9, WEPN-98.7, WHTZ-100.3 Newark, WCBS-101.1, WFAN-101.9, WNEW-FM-102.7, WKTU-103.5 Lake Success, WAXQ-104.3, WWPR-105.1, WQXR-105.9 Newark, WLTW-106.7, and WBLS-107.5 Observation decks The 80th, 86th, and 102nd floors contain observatories. The latter two observatories saw a combined average of four million visitors per year in 2010. Since opening, the observatories have been more popular than similar observatories at 30 Rockefeller Plaza, the Chrysler Building, the first One World Trade Center, or the Woolworth Building, despite being more expensive. There are variable charges to enter the observatories; one ticket allows visitors to go as high as the 86th floor, and there is an additional charge to visit the 102nd floor. Other ticket options for visitors include scheduled access to view the sunrise from the observatory, a "premium" guided tour with VIP access, and the "AM/PM" package which allows for two visits in the same day. The 86th floor observatory contains both an enclosed viewing gallery and an open-air outdoor viewing area, allowing for it to remain open 365 days a year regardless of the weather. The 102nd floor observatory is completely enclosed and much smaller in size. The 102nd floor observatory was closed to the public from the late 1990s to 2005 due to limited viewing capacity and long lines. The observation decks were redesigned in mid-1979. The 102nd floor was again redesigned in a project that was completed in 2019, allowing the windows to be extended from floor to ceiling and widening the space in the observatory overall. An observatory on the 80th floor, opened in 2019, includes various exhibits as well as a mural of the skyline drawn by British artist Stephen Wiltshire. According to a 2010 report by Concierge.com, the five lines to enter the observation decks are "as legendary as the building itself". Concierge.com stated that there are five lines: the sidewalk line, the lobby elevator line, the ticket purchase line, the second elevator line, and the line to get off the elevator and onto the observation deck. However, in 2016, New York City's official tourism website, NYCgo.com, made note of only three lines: the security check line, the ticket purchase line, and the second elevator line. Following renovations completed in 2019, designed to streamline queuing and reduce wait times, guests enter from a single entrance on 34th Street, where they make their way through exhibits on their way up to the observatories. Guests were offered a variety of ticket packages, including a package that enables them to skip the lines throughout the duration of their stay. The Empire State Building garners significant revenue from ticket sales for its observation decks, making more money from ticket sales than it does from renting office space during some years. New York Skyride In early 1994, a motion simulator attraction was built on the 2nd floor, as a complement to the observation deck. The original cinematic presentation lasted approximately 25 minutes, while the simulation was about eight minutes. The ride had two incarnations. The original version, which ran from 1994 until around 2002, featured James Doohan, Star Trek's Scotty, as the airplane's pilot who humorously tried to keep the flight under control during a storm. After the World Trade Center terrorist attacks on September 11, 2001, the ride was closed. An updated version debuted in mid-2002, featuring actor Kevin Bacon as the pilot, with the new flight also going haywire. This new version served a more informative goal, as opposed to the old version's main purpose of entertainment, and contained details about the 9/11 attacks. The simulator received mixed reviews, with assessments of the ride ranging from "great" to "satisfactory" to "corny". Lights The building was originally equipped with white searchlights at the top. They were first used in November 1932 when they lit up to signal Roosevelt's victory over Hoover in the presidential election of that year. These were later swapped for four "Freedom Lights" in 1956. In February 1964, flood lights were added on the 72nd floor to illuminate the top of the building at night so that the building could be seen from the World Fair later that year. The lights were shut off from November 1973 to July 1974 because of the energy crisis at the time. In 1976, the businessman Douglas Leigh suggested that Wien and Helmsley install 204 metal-halide lights, which were four times as bright as the 1,000 incandescent lights they were to replace. New red, white, and blue metal-halide lights were installed in time for the country's bicentennial that July. After the bicentennial, Helmsley retained the new lights due to the reduced maintenance cost, about $116 a year. Since 1976, the spire has been lit in colors chosen to match seasonal events and holidays. Organizations are allowed to make requests through the building's website. The building is also lit in the colors of New York-based sports teams on nights when they host games: for example, orange, blue, and white for the New York Knicks; red, white, and blue for the New York Rangers. It was twice lit in scarlet to support New Jersey's Rutgers University, once for a football game against the University of Louisville on November 9, 2006, and again on April 3, 2007, when the women's basketball team played in the national championship game. The spire can also be lit to commemorate occasions such as disasters, anniversaries, or deaths. For instance, in 1998, the building was lit in blue after the death of singer Frank Sinatra, who was nicknamed "Ol' Blue Eyes". The structure was lit in red, white, and blue for several months after the destruction of the World Trade Center in September 2001. On January 13, 2012, the building was lit in red, orange, and yellow to honor the 60th anniversary of NBC program The Today Show. After retired basketball player Kobe Bryant's January 2020 death, the building was lit in purple and gold, signifying the colors of his former team, the Los Angeles Lakers. In 2012, the building's four hundred metal halide lamps and floodlights were replaced with 1,200 LED fixtures, increasing the available colors from nine to over 16 million. The computer-controlled system allows the building to be illuminated in ways that were unable to be done previously with plastic gels. For instance, on November 6, 2012, CNN used the top of the Empire State Building as a scoreboard for the 2012 United States presidential election. When incumbent president Barack Obama had reached the 270 electoral votes necessary to win re-election, the lights turned blue, representing the color of Obama's Democratic Party. Had Republican challenger Mitt Romney won, the building would have been lit red, the color of the Republican Party. Also, on November 26, 2012, the building had its first synchronized light show, using music from recording artist Alicia Keys. Artists such as Eminem and OneRepublic have been featured in later shows, including the building's annual Holiday Music-to-Lights Show. The building's owners adhere to strict standards in using the lights; for instance, they do not use the lights to play advertisements. Height records The longest world record held by the Empire State Building was for the tallest skyscraper (to structural height), which it held for 42 years until it was surpassed by the North Tower of the World Trade Center in October 1970. The Empire State Building was also the tallest man-made structure in the world before it was surpassed by the Griffin Television Tower Oklahoma (KWTV Mast) in 1954, and the tallest freestanding structure in the world until the completion of the Ostankino Tower in 1967. An early-1970s proposal to dismantle the spire and replace it with an additional 11 floors, which would have brought the building's height to 1,494 feet (455 m) and made it once again the world's tallest at the time, was considered but ultimately rejected. With the destruction of the World Trade Center in the September 11 attacks, the Empire State Building again became the tallest building in New York City, and the second-tallest building in the Americas, surpassed only by the Willis Tower in Chicago. The Empire State Building remained the tallest building in New York until the new One World Trade Center reached a greater height in April 2012. , it is the seventh-tallest building in New York City after One World Trade Center, 111 West 57th Street, Central Park Tower, One Vanderbilt, 432 Park Avenue, and 30 Hudson Yards. It is the fifth-tallest completed skyscraper in the United States behind the two other tallest buildings in New York City, as well as the Willis Tower and Trump International Hotel and Tower in Chicago. The Empire State Building is the 49th-tallest in the world . It is also the sixth-tallest freestanding structure in the Americas behind the five tallest buildings and the CN Tower. Notable tenants , the building houses around 1,000 businesses. Current tenants include: Former tenants include: The National Catholic Welfare Council (now Catholic Relief Services, located in Baltimore) The King's College (now located at 56 Broadway) China National Tourist Office (now located at 370 Lexington Avenue) National Film Board of Canada (now located at 1123 Broadway) Nathaniel Branden Institute Schenley Industries YWCA of the USA (relocated to Washington, DC) Incidents 1945 plane crash At 9:40 am on July 28, 1945, a B-25 Mitchell bomber, piloted in thick fog by Lieutenant Colonel William Franklin Smith Jr., crashed into the north side of the Empire State Building between the 79th and 80th floors where the offices of the National Catholic Welfare Council were located. One engine completely penetrated the building, landing on the roof of a nearby building where it started a fire that destroyed a penthouse. The other engine and part of the landing gear plummeted down an elevator shaft causing a fire, which was extinguished in 40 minutes. Fourteen people were killed in the incident. Elevator operator Betty Lou Oliver survived a plunge of 75 stories inside an elevator, which still stands as the Guinness World Record for the longest survived elevator fall recorded. Despite the damage and loss of life, the building was open for business on many floors two days later. The crash helped spur the passage of the long-pending Federal Tort Claims Act of 1946, as well as the insertion of retroactive provisions into the law, allowing people to sue the government for the incident. Also as a result of the crash, the Civil Aeronautics Administration enacted strict regulations regarding flying over New York City, setting a minimum flying altitude of above sea level regardless of the weather conditions. A year later, on July 24, 1946, another aircraft narrowly missed striking the building. The unidentified twin-engine plane scraped past the observation deck, scaring the tourists there. 2000 elevator plunge On January 24, 2000, an elevator in the building suddenly descended 40 stories after a cable that controlled the cabin's maximum speed was severed. The elevator fell from the 44th floor to the fourth floor, where a narrowed elevator shaft provided a second safety system. Despite the 40-floor fall, both of the passengers in the cabin at the time were only slightly injured. Since that elevator had no fourth-floor doors, the passengers were rescued by an adjacent elevator. After the fall, building inspectors reviewed all of the building's elevators. Suicide attempts Because of the building's iconic status, it and other Midtown landmarks are popular locations for suicide attempts. More than 30 people have attempted suicide over the years by jumping from the upper parts of the building, with most attempts being successful. The first suicide from the building occurred on April 7, 1931, before it was even completed, when a carpenter who had been laid-off went to the 58th floor and jumped. The first suicide after the building's opening occurred from the 86th floor observatory in February 1935, when Irma P. Eberhardt fell onto a marquee sign. On December 16, 1943, William Lloyd Rambo jumped to his death from the 86th floor, landing amidst Christmas shoppers on the street below. In the early morning of September 27, 1946, shell-shocked Marine Douglas W. Brashear Jr. jumped from the 76th-floor window of the Grant Advertising Agency; police found his shoes from his body. On May 1, 1947, Evelyn McHale leapt to her death from the 86th floor observation deck and landed on a limousine parked at the curb. Photography student Robert Wiles took a photo of McHale's oddly intact corpse a few minutes after her death. The police found a suicide note among possessions that she left on the observation deck: "He is much better off without me.... I wouldn't make a good wife for anybody". The photo ran in the May 12, 1947 edition of Life magazine and is often referred to as "The Most Beautiful Suicide". It was later used by visual artist Andy Warhol in one of his prints entitled Suicide (Fallen Body). A mesh fence was put up around the 86th floor terrace in December 1947 after five people tried to jump during a three-week span in October and November of that year. By then, sixteen people had died from suicide jumps. Only one person has jumped from the upper observatory. Frederick Eckert of Astoria ran past a guard in the enclosed 102nd-floor gallery on November 3, 1932, and jumped a gate leading to an outdoor catwalk intended for dirigible passengers. He landed and died on the roof of the 86th floor observation promenade. Two people have survived falls by not falling more than a floor. On December 2, 1979, Elvita Adams jumped from the 86th floor, only to be blown back onto a ledge on the 85th floor by a gust of wind and left with a broken hip. On April 25, 2013, a man fell from the 86th floor observation deck, but he landed alive with minor injuries on an 85th-floor ledge where security guards brought him inside and paramedics transferred him to a hospital for a psychiatric evaluation. Shootings Two fatal shootings have occurred in the direct vicinity of the Empire State Building. Abu Kamal, a 69-year-old Palestinian teacher, shot seven people on the 86th floor observation deck during the afternoon of February 23, 1997. He killed one person and wounded six others before committing suicide. Kamal reportedly committed the shooting in response to events happening in Palestine and Israel. On the morning of August 24, 2012, 58-year-old Jeffrey T. Johnson shot and killed a former co-worker on the building's Fifth Avenue sidewalk. He had been laid off from his job in 2011. Two police officers confronted the gunman, and he aimed his firearm at them. They responded by firing 16 shots, killing him but also wounding nine bystanders. Most of the injured were hit by bullet fragments, although three took direct hits from bullets. Impact As the tallest building in the world and the first one to exceed 100 floors, the Empire State Building immediately became an icon of the city and of the nation. In 2013, Time magazine noted that the Empire State Building "seems to completely embody the city it has become synonymous with". The historian John Tauranac called it "'the' twentieth-century New York building", despite the existence of taller and more modernist buildings. Early architectural critics also focused on the Empire State Building's exterior ornamentation. Architectural critic Talbot Hamlin wrote in 1931, "That it is the world's tallest building is purely incidental." George Shepard Chappell, writing in The New Yorker under the pseudonym "T-Square", wrote the same year that the Empire State Building had a "palpably enormous" appeal to the general public, and that "its difference and distinction [lay] in the extreme sensitiveness of its entire design". However, architectural critics also wrote negatively of the mast, especially in light of its failure to become a real air terminal. Chappell called the mast "a silly gesture" and Lewis Mumford called it "a public comfort station for migratory birds". Nevertheless, architecture critic Douglas Haskell said the Empire State Building's appeal came from the fact that it was "caught at the exact moment of transition—caught between metal and stone, between the idea of 'monumental mass' and that of airy volume, between handicraft and machine design, and in the swing from what was essentially handicraft to what will be essentially industrial methods of fabrication." Status as an icon Early in the building's history, travel companies such as Short Line Motor Coach Service and New York Central Railroad used the building as an icon to symbolize the city. After the construction of the first World Trade Center, architect Paul Goldberger noted that the Empire State Building "is famous for being tall, but it is good enough to be famous for being good." As an icon of the United States, it is also very popular among Americans. In a 2007 survey, the American Institute of Architects found that the Empire State Building was "America's favorite building". The building was originally a symbol of hope in a country devastated by the Depression, as well as a work of accomplishment by newer immigrants. The writer Benjamin Flowers states that the Empire State was "a building intended to celebrate a new America, built by men (both clients and construction workers) who were themselves new Americans." The architectural critic Jonathan Glancey refers to the building as an "icon of American design". The Empire State Building has been hailed as an example of a "wonder of the world" due to the massive effort expended during construction. The Washington Star listed it as part of one of the "seven wonders of the modern world" in 1931, while Holiday magazine wrote in 1958 that the Empire State's height would be taller than the combined heights of the Eiffel Tower and the Great Pyramid of Giza. The American Society of Civil Engineers also declared the building "A Modern Civil Engineering Wonder of the United States" in 1958, and one of the Seven Wonders of the Modern World in 1994. Ron Miller, in a 2010 book, also described the Empire State Building as one of the "seven wonders of engineering". It has often been called the Eighth Wonder of the World as well, an appellation that it has held since shortly after opening. The panels installed in the lobby in 1963 reflected this, showing the seven original wonders alongside the Empire State Building. The Empire State Building also became the standard of reference to describe the height and length of other structures globally, both natural and man-made. In popular culture As an icon of New York City, the Empire State Building has been featured in various films, books, TV shows, and video games. According to the building's official website, more than 250 movies contain depictions of the Empire State Building. In his book about the building, John Tauranac writes that its first documented appearance in popular culture was Swiss Family Manhattan, a 1932 children's story by Christopher Morley. A year later, the film King Kong depicted Kong, a large stop motion ape that climbs the Empire State Building, bringing the building into the popular imagination. Later movies such as An Affair to Remember (1957), Sleepless in Seattle (1993), and Independence Day (1996) also prominently featured the building. The building has also been featured in other works, such as "Daleks in Manhattan", a 2007 episode of the TV series Doctor Who; and Empire, an eight-hour black-and-white silent film by Andy Warhol, which was later added to the Library of Congress's National Film Registry. Empire State Building Run-Up The Empire State Building Run-Up, a foot race from ground level to the 86th-floor observation deck, has been held annually since 1978. Its participants are referred to both as runners and as climbers, and are often tower running enthusiasts. The race covers a vertical distance of and takes in 1,576 steps. The record time is 9 minutes and 33 seconds, achieved by Australian professional cyclist Paul Crake in 2003, at a climbing rate of per hour. See also Early skyscrapers NTT Docomo Yoyogi Building List of buildings with 100 floors or more List of National Historic Landmarks in New York City List of New York City Designated Landmarks in Manhattan from 14th to 59th Streets List of tallest buildings by U.S. state List of tallest freestanding steel structures National Register of Historic Places listings in Manhattan from 14th to 59th Streets References Notes Citations Sources Further reading External links Empire State Building on CTBUH Skyscraper Center Empire State Building under construction (1930–1931) at the New York Public Library Empire State Building archive, circa 1930–1969, Avery Architectural & Fine Arts Library, Columbia University 1930s architecture in the United States 1931 establishments in New York City 34th Street (Manhattan) Art Deco architecture in Manhattan Art Deco skyscrapers Fifth Avenue Former world's tallest buildings Midtown Manhattan National Historic Landmarks in Manhattan New York City Designated Landmarks in Manhattan New York City interior landmarks Office buildings completed in 1931 Office buildings on the National Register of Historic Places in Manhattan Radio masts and towers in the United States Skyscraper office buildings in Manhattan Symbols of New York City Tourist attractions in Manhattan Towers completed in 1953
11325103
https://en.wikipedia.org/wiki/List%20of%20aircraft%20shootdowns
List of aircraft shootdowns
This is a list of aircraft shootdowns, dogfights and other incidents during wars since World War II. An aircraft shootdown occurs when an aircraft is struck by a projectile launched or fired from another aircraft or from the ground (see anti-aircraft warfare) which causes the targeted aircraft to lose its ability to continue flying, and subsequently crash, often resulting in the death of the occupants on board. Military aircraft Cold War (1947–1991) (2) 9 February 1948 – Two Turkish Supermarine Spitfire were shot down by Bulgarian small arms fire. 27 October 1948 – An Italian Lockheed P-38 Lightning was shot down by Yugoslavia. 22 January 1949 – A USAF North American T-6 Texan was shot down by a Communist guerrillas over Greece killing the pilot. 8 April 1950 – A US Navy PB4Y-2 Privateer of VP-26 launched from Wiesbaden, West Germany is shot down during a patrol mission over the Baltic by four Soviet Air Force La-11 "Fangs" off of Liepāja, Latvia. Catalina affair (June 1952) Air battle over Merklín (March 10, 1953) Avro Lincoln shootdown incident (March 12, 1953) 27 January 1954 – An engagement over the yellow sea between eight Chinese PLAAF MiG-15 "Fagots" and a flight of USAF F-86 Sabres escorting an RB-45 Tornado ends in the downing of one of the attacking MiG-15 by first lieutenant Bertram Beecroft. (2) 26 July 1954 – Off Hainan island two PLAAF La-11 "Fangs" attack two USN AD-4 Skyraiders from VF-54 launched off the USS Philippine Sea (CV 47) while they are searching for survivors of the Cathay Pacific DC-4 shot down by the PLAAF four days earlier. Under attack, pilots William Alexander and John Zarious were soon aided by more AD-4 Skyraiders of their own squadron as well as one F4U-5N of VC-3. One Lavochkin was downed by two AD-4 piloted by Roy Tatham and Richard Cooks, the other by F4U pilot Edgar Salsig and AD-4 pilots John Damien, John Rochford, Paul Wahlstrom and Richard Ribble. (2) 5 February 1955 – 60 km west of Pyongyang over the Yellow Sea an RB-45 Tornado of the 91st Strategic reconnaissance squadron escorted by eight USAF F-86 Sabres found themselves under attack by twelve KPAF MiG-15"Fagots", the engagement resulted in the downing of two of the attacking Mikoyan by Sabre pilots Charles Salmon and George Williams. 17 April 1955 – A USAF RB-47E Stratojet of the 4th Strategic Reconnaissance Squadron took off from Eielson AFB and was later shot down off Kamchatka by two Soviet MiG-15 "Fagots" flown by Korotkov and Sazhinwith. All crew of Lacie C. Neighbors, Robert N. Brooks and Richard E. Watkins Jr are reported missing presumed dead. /(2) 10 May 1955 – Over the Yellow Sea eighty kilometers southwest of Sinuiju a group of eight USAF F-86 Sabres finds itself under attack by twelve PLAAF MiG-15 "Fagots", pilot Xizhong Ni claims the downing of one Sabre. USAF pilots Robert Fulton and Burt Phythyon each claim to have downed a MiG themselves. 18 August 1955 – After accidentally flying above the Korean Demilitarized Zone, a USAF LT-6 Texan Trainer was downed by North Korean ground fire killing the pilot and observer on board. 1 May 1960 – U-2 shootdown incident 26 August 1960 – An Indian Air Force Dakota DC-3 registered HJ233 trying to drop relief materials and ammunitions to a besieged post was shot down by the Naga Army. All on board were captured alive and were later released unharmed. (2) 16 August 1962 – two Turkish Air Force F-84F Thunderstreaks shot down two Iraqi Air Force Il-28 "Beagle" bombers that crossed the Turkish border by mistake during a bombing operation against Iraqi Kurdish insurgents. 27 October 1962 – in the morning, a U-2F (the third CIA U-2A, modified for air-to-air refueling) piloted by USAF Major Rudolf Anderson, departed its forward operating location at McCoy AFB, Florida. At approximately 12:00 pm EDT, the aircraft was struck by a S-75 Dvina (NATO designation SA-2 Guideline) surface-to-air missile launched from Cuba. The aircraft was shot down, and Anderson was killed. 28 January 1964 – 1964 T-39 shootdown incident 15 April 1969 – 1969 EC-121 shootdown incident / 28 November 1973 – Soviet MiG-21 pilot Captain Gennadii N. Eliseev killed after ramming an IIAF RF-4C intruding into Soviet airspace on behalf of CIA Project Dark Gene, USAF Colonel John Saunders was in the rear seat. Both ejected and were captured by Soviet authorities. (2) 21 June 1978 – 1978 Iranian Chinook shootdown 14 September 1983 – a pair of Turkish Air Force F-100F Super Sabre fighter jets of 182 Filo "Atmaca" penetrated Iraqi airspace. A Mirage F-1EQ of the Iraqi Air Force intercepted the flight and fired a Super 530F-1 missile at them. One of the Turkish fighter jets (s/n 56-3903) was shot down and crashed in Zakho valley near the Turkish-Iraqi border. The plane's pilots reportedly survived the crash and were returned to Turkey. The incident was not made public by either side, although some details surfaced in later years. The incident was revealed in 2012 by Turkish Defence Minister İsmet Yılmaz, in response to a parliamentary question by Republican People's Party (CHP) MP Metin Lütfi Baydar in the aftermath of the downing of a Turkish F-4 Phantom II in Syria, in 2012. (2) In 1988, Soviet MiG-23MLDs using R-23s downed two Iranian AH-1J Cobras that had intruded into Afghan airspace. 21 October 1989 – a Turkish land registry BN-2 Islander photographic mapping plane was shot down by a Syrian Air Force MiG-21bis, piloted by Hussam Mezien. All four onboard died in the crash. Internal conflict in Myanmar (1948–present) 11 January 2013 – A Mil Mi-35P either crashed or was shot down by Kachin Independence Army rebels killing three. 3 May 2021 – in the morning, a Myanmar Air Force Mi-35 was shot down by the Kachin Independence Army, hit by a MANPADS during air raids involving attack helicopters and fighter jets. A video emerged showing the helicopter being hit while flying over a village. Taiwan Straits Conflicts (1950–1967) 14 March 1950 – A RoCAF North American B-25 Mitchell was shot down PLAAF aircraft killing six. 16 March 1950 – A RoCAF North American P-51 Mustang was shot down PLA ground fire killing pilot. 2 April 1950 – A RoCAF North American P-51 Mustang was shot down by soviet aircraft near Shanghai killing the pilot. 29 July 1950 – Antiaircraft fire from Xiamen shoots down a RoCAF P-47N Thunderbolt killing its pilot. 16 June 1953 – Antiaircraft fire from Dongshan Island shoots down a RoCAF P-47N Thunderbolt killing its pilot. 17 December 1953 – Antiaircraft fire in Jejiang shoots down a RoCAF P-47N Thunderbolt killing its pilot. 22 May 1954 – in an engagement involving six PLAAF MiG-15 "Fagots", RoCAF pilots Chien and Yen shoot down one of the MiGs with machinegun fire from their P-47N Thunderbolts. 26 May 1954 – Antiaircraft fire from Fujian downs an RoCAF B-17 Flying Fortress with all of its four crewmen killed. 3 June 1954 – A La-11 "Fang" of the PLAAF downs an RoCAF P-47N Thunderbolt killing its pilot. 6 July 1954 – Cannonfire of a MiG-15 "Fagot" of the PLAAF downs an RoCAF P-47N Thunderbolt killing its pilot. 12 September 1954 – Antiaircraft fire from Xiamen downs an RoCAF PB4Y Privateer killing all nine crew. 19 January 1955 – Antiaircraft fire downs an RoCAF F-84G Thunderjet over the PRC killing its pilot. 21 January 1955 – Antiaircraft fire downs an RoCAF P-47N Thunderbolt over the PRC killing its pilot. 9 February 1955 – During the evacuation of nationalist Chinese from the Tachen islands covered by aircraft launched from USS Wasp (CV-18), a USN AD-5W Skyraider on antisubmarine patrol from VC-11 is heavily damaged by PRC Antiaircraft fire and forced to ditch at sea. its crew of three are rescued by patrol boats of the ROC. 22 June 1955 – A MiG-17 "Fresco" of the PLAAF shoots down an RT-33A of the RoCAF killing its pilot. 4 July 1955 – A MiG-15 "Fagot" among a group of four PLAAF Mikoyan is shot down in combat with four F-84G Thunderjets of the RoCAF. 16 July 1955 – Antiaircraft fire from Kinmen downs an RoCAF F-84G Thunderjet killing its pilot. 15 October 1955 – A PLAAF MiG-15 "Fagot" is shot down by Tzu-Wan Sun of the RoCAF in his F-86 Sabre. 14 April 1956 – A MiG-15 "Fagot" among a group of four PLAAF Mikoyan is shot down in combat with four F-84G Thunderjets of the RoCAF. 22 June 1956 – A RoCAF B-17 Flying Fortress is shot down during a nighttime mission by cannonfire from an intercepting MiG-17 "Fresco" of the PLAAF. All eleven crew on board perish. 20 July 1956 – A MiG-15 "Fagot" among a group of four PLAAF Mikoyan is shot down in combat with four F-84G Thunderjets of the RoCAF. (2) 21 July 1956 – Two MiG-15 "Fagots" among a group of three PLAAF Mikoyan are shot down by pilot I-Fang Ouyang flying among four RoCAF F-86 Sabres. 10 November 1956 – During an airdrop over Jejigxi a C-46 Commando of the RoCAF is shot down by a PLAAF MiG-19 "Farmer" killing its nine crewmen. 1 July 1957 – Antiaircraft fire downs an RoCAF P-47N Thunderbolt over the PRC killing its pilot. 18 February 1958 – A MiG-15 "Fagot" of the People's Liberation Army Naval Air Force brings down a RoCAF RB-57D above Shandong killing the pilot. (2) 29 July 1958 – Four MiG-17 "Frescos" engaged four F-84G Thunderjets patrolling near Nan Ao Island resulting in the downing of two Thunderjets by pilots Gao ChangJi and Zhang YiLing of the PLAAF 54th Regiment (3) 14 August 1958 – Three PLAAF MiG-17 "Frescos" are shot down by a group of four RoCAF F-86 Sabres, With pilots Ping-Chun Chin and Chung-Li Li each shooting down one themselves. A third Mikoyan being brought down by two other Sabres flown by Hsien-Wu Liu and Fu-The Pan. afterwards Sabre No. 307 involved in the shootdown failed to return to base. (2) 25 August 1958 – Two PLAAF MiG-17 "Frescos" are engaged and shot down by RoCAF F-86 Sabres piloted by Tien-En Chiang and Hsu-Hsiang Ku / (7) 8 September 1958 – Seven PLAAF MiG-17 "Frescos" are shot down by numerous F-86 Sabres of the RoCAF. Five pilots, Ping-Chun Chin, Yi-Chien Li, Chin-Chung Liang, Chung-Tsi Yu and Wai-Ming Chu each being credited one kill, Hsien-Wu Liu downs two more himself. On the PLAAF side pilot Zhang Yi destroys one F-86 Sabre in his MiG-17 "Fresco" / (6) 18 September 1958 – Above Haicheng Guangdong Six PLAAF MiG-17 "Frescos" are shot down by a number of RoCAF F-86 Sabres flown by Wan-Li Lin, Yang-Chung Lu, Che-Shing Mao, Tzu-Wan Sun, Kuang-Hsing Tung and Hsin-Yeh Liu with each downing one Mikoyan. One Sabre is brought down by cannon fire from a PLAAF MiG-17 "Fresco" piloted by Chang Zhu You. (11) 24 September 1958 – Shortly after their aircraft had been retrofitted by technicians of the United States Marine Corps to carry the AIM-9B Sidewinder air to air missiles, Numerous missile armed RoCAF F-86 Sabres took off and gave chase to a group of PLAAF MiG-17 "Frescos" that had cruised above them. Due to the superior rate of climb, vertical maneuverability, thrust to weight ratio and service ceiling the Fresco pilots did not perceive any danger in doing this as they were unaware of this newly installed armament. Sabre pilots began to fire their missiles at the MiG's destroying some. Others broke into a dive and entered a horizontal turning engagement with their pursuers who held an advantage in horizontal turn-rate allowing them to engage with guns shooting down more of the PRC jets. Pilots Jing-Chuen Chen, Chun-Hsein Fu, Jie-Tsu Hsia, Shu-Yuen Li, Ta-Peng Ma, Hong-Yan Sung shot down one MiG-17 each, Yi-Chiang Chien shot down two himself and two pairs of pilots Tasi-Chuen Liu with Tang Jie-Min and Hsin-Yung Wang with Yuen-Po Wang shared in the downing of one MiG by each duo. During this engagement one further Fresco sustained notable damage being impacted by an AIM-9 that did not detonate. It escaped with an intact missile within the airframe that was extracted after returning to its base and hesitantly transferred to the Soviet Union for reverse engineering. 2 October 1958 – Antiaircraft fire from Kinmen knocks down a C-46 Commando killing all five crewmen. / (4) 10 October 1958 – Over the PRC four RoCAF F-86F Sabre Pilots engage and shoot down four MiG-17 "Frescos" of the PLAAF, As one of the Fresco burn it explodes launching chunks of debris towards and striking one of its attackers causing heavy damage, An RoCAF pilot ejects and is captured and placed in detention until his release on 30 June 1959. 29 May 1959 – Above Guandong a PLAAF MiG-17 "Fresco" intercepts and shoots down a RoCAF B-17 Flying Fortress killing all 14 on board. (2) 5 July 1959 – Above the Taiwan Straits twenty four PLAAF MiG-17 "Frescos" are engaged by four F-86 Sabres of the RoCAF ending in the destruction of two Frescos. 7 October 1959 – Above Beijing an RoCAF RB-57D piloted by Wang Ying Chin is the first plane to ever be shot down by a surface to air missile. Chin dies after his plane was destroyed by an SA-2 Guideline missile. 6 November 1961 – Above Shantung province an RB-69A Neptune is destroyed by an SA-2 Guideline missile killing all 13 aboard. 9 September 1962 – Fifteen Kilometers south of Nunchang an RoCAF Lockheed U-2A is shot down by an SA-2 Guideline missile. Pilot Chen Huai Sheng bails out and is captured after landing but dies some time later in a PRC hospital. 14 June 1963 – Above Nanchang a RoCAF RB-69A Neptune is shot down by 23 mm NR-23 cannon-fire from a PLAAF MiG-17PF "Fresco" killing all 14 crew aboard 1 November 1963 – Above Jiagxi an SA-2 Guideline shoots down an RoCAF Lockheed U-2C. Pilot Yeh Chang Yi was returning from an intelligence mission where he took aerial photos of Jiayuguan missile test site and Lanzhou nuclear weapons plant. After detecting the first Guideline had been launched at him he made evasive maneuvers and avoided the first only to be struck by a second missile moments later knocking off his right wing. after bailing out and falling into captivity of the PRC he was held until 10 November 1982 when he was released into Hong Kong. He was eventually admitted into the United States after ROC officials denied his attempts to be repatriated. 11 June 1964 – Near Yantai on the Shantung Peninsula Coordination between a MiG-17F "Fresco" and an Iluyshin Il-28 "Beagle" of the PLAAF supports the nighttime interception of an RoCAF RB-69A Neptune by dropping flares to illuminate the target plane allowing the fighter to shoot it down with cannon-fire. 7 July 1964 – Flying above Fujian, RoCAF pilot Lee Nan Lee is shot down and killed after his Lockheed U-2G is targeted and struck by an SA-2 Guideline missile. 18 December 1964 – Above Wenzhou, an RoCAF RF-101A Voodoo piloted by Hsieh Hsiangho is shot down by a People's Liberation Army Naval Air Force Shenyang J-6. He is captured by fishermen when he ejects above the ocean and detained until July 1985. 10 January 1965 – Southwest of Beijing, On a mission to capture aerial photos of Paotow uranium enrichment plant using an infrared camera RoCAF pilot Chang Liyi is shot down after being struck by an SA-2 Guideline missile. He survives the crash with both legs broken, Captured he is held until 10 November 1982 when released into Hong Kong. He was eventually admitted into the United States after ROC officials denied his attempts to be repatriated. 18 March 1965 – Above Guangdong near Shantou, a PLAAF MiG-19 "Farmer" piloted by Gao Chang Ji shoots down and kills RoCAF pilot Chang Yupao flying an RF-101C Voodoo. 10 January 1966 – Above Matsu, PLAAF MiG-17 "Fresco" shoots down an RoCAF HU-16 Albatross attempting to carry defectors to Taiwan. 10 January 1966 – A HU-16 of the Republic of China Air Force was shot down by People's Republic of China PLAAF MiG-17 over Matsu whilst transporting defectors to Taiwan. / (2) 13 January 1967 – Four F-104G Starfighters of the RoCAF are engaged by Twelve MiG-19 "Farmers" of the PLAAF. Two Farmers are claimed shot by Hu Shih-Lin and one by Bei-Puo Shih. F-104G No. 64-17779 involved in the engagement does not return and is believed to have been shot down. South African Border War (1966-1990) 22 September 1975 - A South African Aérospatiale SA 330 Puma helicopter is hit by Cuban Anti-aircraft fire during Operation Savannah. Two crew members die, the remaining 4 survive and avoid capture. 4 January 1976 - Another South African Aérospatiale SA 330 Puma helicopter is shot down by friendly fire during Operation Savannah. Both crew members and 3 passengers die in the crash. 13 March 1976 – A Fokker F-27 Friendship parked on the ground offloading arms at UNITA's Gago Coutinho aerodrome is caught by surprise by a group of four Cuban Air Force MiG-21 FM. Pilot Rafael Del Pino fires an S-24 unguided rocket destroying it. 14 Marzo 1979 - A South African Canberra medium bomber crashes after the pilot is killed by enemy fire during an attack on Cahama, south of Ongiva. 6 July 1979 - A South African Dassault Mirage III ID number 856 is shot down in Cunene, Angola. 18 October 1979 - A South African Atlas Impala MKII is shot down by anti-aircraft fire; the pilot survives and is rescued. 12 September 1980 - A South African Atlas Impala MKII from 8th SAAF Squadron is shot down in Angola, the pilot is declared MIA. 10 October 1980 - A South African Atlas Impala MKII is shot down over South West of Mupa in Southern Angola by SA-7, the pilot, Lautenslager V.P. is killed by SWAPO rebels. 1 June 1981 - A South African Atlas Impala MKII is shot down in Cuvelai, the pilot died in the crash. 6 November 1981 – South African Air Force Major Johan Rankin flying a Mirage F-1CZ engaged a Cuban MiG-21 FM flown by Major Leonel Ponce, downing his MiG with a burst of 30 mm cannon. 5 January 1982 - A South African Aérospatiale SA 330 Puma helicopter is downed by small arms fire, causing a hydraulic pipe to rupture. The helicopter crashed inverted. All 3 occupants died. 9 August 1982 - A South African Aérospatiale SA 330 Puma helicopter is hit by 23mm Anti aircraft fire, causing it to crash inverted, the crew of 3 and 12 Paratroopers are killed. 5 October 1982 – Flying his Mirage F-1CZ, Major Johan Rankin engages two Cuban MiG-21 FM flown by Lieutenants Raciel Marrero Rodríguez and Gilberto Ortiz Pérez over Angola. Rankin downs the lead MiG with 30 mm cannon-fire followed by a launch of an Matra 550 missile, taking down the wingman. Cuba contests this claim, reporting that the two pilots returned to their base at Lubango airport with some battle damage. 25 July 1986 - An Angolan Air Force Mig-23ML is shot down near Menongue, Angola. Pilot Captain Jorge González Pérez is killed. 28 October 1987 – UNITA ground fire near Luvuei, Angola shoots down a Cuban MiG-21UM a two-seat variant of the type. Both Cuban crew eject and are captured by UNITA forces. 14 November 1987 - A South African Atlas Impala MKII is shot down by Anti-aircraft fire in Cuvelai during a night mission. 20 February 1988 – A South African Dassault Mirage F1 is shot down by an SA-13 fired by Cuban forces during a raid in Cuando Cubango, Angola. 2 March 1988 - A Cuban Air Force Mig-21 piloted by Captain Juan Perez is shot down by friendly Anti-aircraft fire near Menongue. 19 March 1988 – A South African Dassault Mirage F1 ID number 223 is shot down by a missile in Longa, north of Cuito Cuanavale during a night raid. The pilot, Captain Willie Van Coopehagen, dies in the crash. 27 April 1988 - A Cuban Air Force AN-26 is shot down by friendly fire from 9K32 Strela-2 (SA-7) missiles and anti-aircraft cannons. 4 May 1988 - A Cuban Air Force Mig-21 piloted by Carlos Rodriguez Perez is shot down by a UNITA missile. Football War (1969) (3) 17 July 1969 – Honduran Air Force Corsair pilots Captain Fernando and his wingman Captain Edgardo Acosta Soto engaged two Salvadoran TF-51D Cavalier Mustang II who were attacking another Corsair while it was strafing ground targets south of Tegucigalpa. Soto entered a turning engagement with one mustang and blew off its left wing with three bursts of 20 mm cannon, Killing pilot Captain Douglas Varela when his parachute did not fully deploy. Later that day the pair spotted two Salvadoran FG-1D Goodyear Corsair. They jettisoned hard point stores before climbing and made a diving attack, Soto set one Corsair on fire only to find its wingman on his tail. An intense dogfight between them ended when Soto entered a Split-S giving him a firing solution which he used to shoot down Captain Guillermo Reynaldo Cortez who died when his Corsair exploded. The Troubles (Late 1960s–1998) List of attacks on British aircraft during The Troubles British Army Gazelle downing (February 17, 1978) British Army Lynx shootdown (June 23, 1988) British Army Gazelle shootdown (February 11, 1990) British Army Lynx shootdown (March 20, 1994) Yom Kippur War (1973) Ofira Air Battle (6 October 1973) Al Mansoura Air Battle (14 October 1973) Cyprus Conflict (1963-1974) 8 August 1964 – On the 8th of August 1964, Turkey's military intervention during the Battle of Tylliria. He led a four-fighter flight of the 112th Air Squadron leaving Eskişehir Air Base around 17:00 local time for Cyprus. Topel's F-100 Super Sabre was hit by 40mm anti-aircraft fire from a Greek Cypriot gun emplacement and shot-down as he was strafing the Arion, a Greek Cypriot patrol boat. He was able to eject from his aircraft and made a safe parachute jump over land. (2) 20 July 1974 – During the first day of the conflict, F-100D 55-3756 of 171.Filo and F-100C 54-2042 of 132.Filo were shot down by Greek Cypriot anti-aircraft fire. (3) 20 July 1974 – During the first day of the Turkish air campaign, three transport planes - C-47 No.6035, a C-130 of 222.Filo and a C-160 of 221.Filo were damaged by Greek Cypriot anti-aircraft fire. All three salvaged, but played no further part in the conflict. 20 July 1974 - During the first day of the conflict, RF-84F 52-7327 of 184.Filo was shot down by Greek Cypriot anti-aircraft fire. 20 July 1974 - During the first day of the conflict, a Dornier Do-28D of the Turkish Air Force was shot down north-west of Nicosia. (3) 21 July 1974 – F-100D 55-2825 of 111.Filo, F-100C 54-2083 of 112.Filo and F-104G 64-17783 of 191.Filo were shot down by Turkish Navy destroyers. (2) 22 July 1974 – Turkish F-100D Super Sabres 54-2238 of 172.Filo and 54-22?? of 171.Filo were lost in action on 22 July over Cyprus due to enemy fire. 22 July 1974 – A Turkish F-100C of 171.Filo was lost in a landing accident after returning from a combat sortie over Cyprus. Serial unknown. (2) 22 July 1974 – Two transport aircraft (53-234 and 52-144) were accidentally damaged by Greek Cypriot anti-aircraft fire. They managed to land safely in Crete but played no further part in the conflict. Western Sahara War (1975–1991) 21 January 1976 – A Moroccan Northrop F-5 was shot down by the Polisario Front using SA-7 Strela missiles. 18 February 1978 – A Moroccan Northrop F-5 was shot down by the Polisario Front. 10 October 1978 – A Moroccan Northrop F-5 was shot down by the Polisario Front using SA-7 Strela missiles. 10 February 1979 – A Moroccan Northrop F-5 was shot down by the Polisario Front. 12 October 1981 – A Moroccan Dassault Mirage F1 was shot down by the Polisario Front. 13 October 1981(2) – A Moroccan Lockheed C-130 Hercules and Northrop F-5 a were shot down by the Polisario Front using soviet made missiles. 26 September 1982 – A Moroccan Dassault Mirage F1 was shot down by the Polisario Front. Pilot Ten Mohamed Hadri was captured. 12 January 1985– A Moroccan Dassault Mirage F1 was shot down by the Polisario Front near Mansoura Ahmed. (2) 13 January 1985 – Two Moroccan Northrop F-5 were shot down by the Polisario Front near the Algerian border. 21 January 1985 – A Moroccan North American Rockwell OV-10 Bronco was shot down by the Polisario Front using 9K32 Strela-2 near Dakhla, Western Sahara. 21 August 1987 – A Moroccan Northrop F-5 was shot down by the Polisario Front. Ogaden War (1977–1978) July 1977 - An Ethiopian F-5E is shot down by a SA-7 Grail MANPADs near Gode. July 1977 - An Ethiopian Douglas DC-3 cargo plane from Ethiopian Airlines is shot down. July 1977 - An Ethiopian Douglas C-47 is shot down by a pair of Somali Mig-17s. 24 July 1977 - An Somali Mig-21 is shot down by an Ethiopian F-5E. (2) 25 July 1977 - Two Somali Mig-21 are shot down by Ethiopian F-5Es, another two Mig-21s collided in the same engagement. 26 July 1977 - An Somali Mig-21 is shot down by an Ethiopian F-5E. 19 August 1977 - An Somali Mig-21 is shot down by an Ethiopian F-5E. 21 August 1977 - An Somali Mig-21 is shot down by an Ethiopian F-5E. (2) 1 September 1977 - Two Somali Mig-21 were shot down by a pair of Ethiopian F-5Es. Kurdish–Turkish conflict (1978–present) 23 February 2008 – a Turkish Army AH-1 Cobra helicopter crashed with PKK militants claiming the downing and posting a video. Turkey confirmed this later in the day, saying that the incident happened "due to an unknown reason". 13 May 2016 – PKK militants shot down a Turkish Army AH-1W SuperCobra using a 9K38 Igla (SA-18 Grouse) MANPADS. In the published video, the missile severed the tail section from the rest of the helicopter, causing it to spin, fragment in midair and crash, killing the two pilots on board. The Turkish government initially claimed that it fell due to technical failure, it later became obvious that it had been shot down. 10 February 2018 – YPG militants shot down a Turkish Air Force TAI/AgustaWestland T129 ATAK over Kırıkhan district of Hatay province killing two soldiers. 12 February 2018 – Syrian Democratic Forces shot down a Turkish Air Force Bayraktar Tactical UAS over Afrin. 18 October 2019 – A Turkish army Sikorsky UH-60 Black Hawk crashed during operations against the SDF near the border city of Ras Al-‘Ayn in Syria's Al-Hasakah Governorate. Chadian-Libyan conflict (1978–1987) 25 January 1984 - A French Air Force SEPECAT Jaguar is shot down by machine-gun fire from GUNT rebels, its pilot is killed. 7 September 1987 - A Libyan Air Force Tupolev Tu-22 with an Eastern German crew was shot down by a MIM-23 Hawk missile fired by French army while trying to bomb N'Djamena airport. Soviet–Afghan War (1979–1989) Salvadoran Civil War (1979–1992) 26 January 1981 – A Aero Commander Operated by Aerolineas del Pacifico that was air-dropping arms and ammunition for rebels was destroyed by the Salvadoran Air Force at a small airstrip killing the co-pilot, The pilot was captured by the army. 11 May 1981 – A Bell UH-1 Iroquois was hit by machinegun fire and crashed. (22) late January 1982 – Battle of Ilopango Airport 17 June 1982 – A MD Helicopters MD 500 was shot down by FMLN. 19 October 1984 – A Cessna O-2A was shot down by FMLN. 12 April 1986 – A Bell UH-1 Iroquois was shot down by FMLN near San Miguel Air Base. 18 November 1989 – A Cessna A-37 Dragonfly was shot down near San Miguel. (6) 17 October 1990 – Six Bell UH-1 Iroquois were destroyed in a FMLN attack. 23 November 1990 – A Cessna A-37 Dragonfly was shot down using a surface to air missile. 2 January 1991 – A Bell UH-1 Iroquois was shot down near Lolotique. 19 December 1991 – A Bell UH-1 Iroquois was shot down by FMLN. Iran–Iraq War (1980–1988) 20 February 1986 – Iranian Air Force Fokker F27 Friendship is shot down by an Iraqi Air Force MiG-23 with a total of 49 killed including crew and passengers. 17 January 1987- An Iraqi MiG-23ML of unit 63FS shot down a F-14A piloted by Assl-e-Davtalab. 19 July 1988- Two Iraqi Dassault Mirage F1 of unit 115FS shot down two F-14A Tomcats by Super 530 missile. Falklands War (1982) Argentine air forces shot down in the Falklands War: total 45 aircraft including 4 helicopters (Sea Harrier 21, Sea Dart missile 7, Sea Wolf missile 4, Stinger missile 2, Sea Cat missile 1, Rapier missile 1, Blowpipe missile 1, combination/gunfire 6, friendly fire 2), April 3 - June 14, 1982 On 4 May 1982, Sea Harrier FRS.1 hit by anti-aircraft fire at Goose Green. (2) On 21 May 1982, a Gazelle AH.1s hit by small-arms fire at San Carlos. On 21 May 1982, a Harrier GR.3 hit by Blowpipe missile at Port Howard. On 27 May 1982, a Harrier GR.3 hit by anti-aircraft fire at Goose Green. On 28 May 1982, a Scout AH.1 shot down by Pucara at Goose Green. On 30 May 1982, a Harrier GR.3 hit by anti-aircraft fire at Stanley. On 1 June 1982, a Sea Harrier FRS.1 hit by Roland missile at Stanley. On 6 June 1982, a British Army Gazelle friendly fire incident at Bluff Cove. Libyan Gulf of Sidra territorial water dispute (2) 19 August 1981 – Gulf of Sidra incident (1981): two Su-22 Fitters of the Libyan Air Force attempted to intercept two American F-14 Tomcats over the Gulf of Sidra, off the coast of Sirte. Both Su-22s were shot down. 15 April 1986 – One F-111F of the 48th Fighter Wing of the United States Air Force was shot down over Libya by ground fire during the 1986 United States bombing of Libya. (2) 4 January 1989 1989 air battle near Tobruk Sri Lankan Civil War (1983-2009) 13 September 1990 – A Sri Lanka airforce SIAI-Marchetti SF.260 was shot down near Palay killing the pilot. 5 July 1992 – A Sri Lanka airforce Shaanxi Y-8 was shot down with a surface to air missile near Palaly killing 19. 14 July 1992 – A Sri Lanka airforce SIAI-Marchetti SF.260 was shot down killing the pilot. 2 August 1994 – A Sri Lanka airforce Bell 212 was shot down by small arms fire. (2) 28 April 1995 – two Sri Lanka airforce Hawker Siddeley HS 748 were shot down near Palay by SA-7 Anti aircraft missiles, the shot downs cost the lives of 43 in the first shootdown and 52 in the second shootdown. 14 July 1995 – A Sri Lanka airforce FMA IA 58 Pucará was shot down killing the pilot. (2) 18 November 1995 – A Sri Lanka airforce Shaanxi Y-8 and a Mil Mi-24 were shot down near palay killing four in the Y-8. 22 November 1995 – A Sri Lanka airforce Antonov An-32 charted from Kazakhstan was shot down near Jaffna killing 63 troops. 22 January 1996 – A Sri Lanka airforce Mi-17-1V was shot down by LETTE killing 34. 19 March 1996 – A Sri Lanka airforce Mi-24 was shot down off the coast of Mullaittivu killing seven. 20 July 1996 – A Sri Lanka airforce Mil Mi-8 was shot down. (2) 10 November 1997 – A Sri Lanka airforce Mi-24 was shot down killing two and a Mil Mi-17 crashed landed after being hit. 7 January 1998 – A Sri Lanka airforce Mil Mi-17 was hit with an RPG and mortars and was destroyed. 26 June 1998 – A Sri Lanka airforce Mi-24 was shot down south of Vavunia killing four. 17 December 1999 – A Sri Lanka airforce Mi-24 was shot down near Parantan killing four. 18 February 2000 – A Sri Lanka airforce Bell 412 was shot down over Thenmaradchi killing two. 24 May 2000 – A Sri Lanka airforce Mi-24 was shot killing two. 19 October 2000 – A Sri Lanka airforce Mi-24 was shot near Nogar Covil. 23 October 2000 – A Sri Lanka airforce Mi-24 was shot near the Trincomalee harbour. 22 October 2007 – Raid on Anuradhapura Air Force Base: One Bell 212 gunship of the Sri Lankan army either suffered a mechanical failure or was shot down during the attack, killing all four of its crew members. (2) 20 February 2009 – 2009 suicide air raid on Colombo: Two Zlin Z-143 light aircraft laden with explosives and flown by two LTTE suicide pilots were shot down by anti-aircraft fire. One impacted a building and detonated; the other crashed before it could reach its target. First Nagorno-Karabakh War (1988–1994) 20 November 1991 – 1991 Azerbaijani Mil Mi-8 shootdown 28 January 1992 – 1992 Azerbaijani Mil Mi-8 shootdown - A civilian Azerbaijani helicopter of Azal airlines is shot down by MANPADs fire from Armenian forces. 3 March 1992 - a Russian Federation Mi-26 cargo helicopter and a Mi-24 attack helicopter designed as an escort delivered food to an Armenian village in Polistan. On the way back evacuating civilians and wounded the cargo helicopter is attacked by an Azerbaijani Mi-8, the escort thwarted the attack back. However MANPADS fire launched from the ground shot down the Mi-26 near the Azerbaijani village of Seidilyar. Of the 50 people on board, 12 were killed. 12 May 1992 - A Russian Federation Mi-26 is shot down by Armenian MANPAD fire in Tavush province, Armenia. Six crewmen died. 8 August 1992 - An Azerbaijani Mi-24 is shot down by Armenian ZU-23-2 anti aircraft guns, one Armenian 57-mm S-60 gun was destroyed in the same engagement. 20 August 1992 - An Azerbaijani two seat MiG-25PD is shot down, one of the pilots was Alexander Belichenko a Ukrainian national, after being captured by Armenian authorities he is sentenced to death by the Constitutional Court of Armenia. However diplomatic negotiations by the presidents of Russia, Armenia and Azerbaijan allowed the pardon of Belichenko and other mercenary pilots of Azerbaijan. 4 September 1992 - An Azerbaijani Mig-21 is shot down by Armenian fire, the pilot is captured. 12 September 1992 - An Armenian Mi-24 is shot down by Azerbaijani fire. 18 September 1992 - An Azerbaijani Mi-24 is shot down by Armenian anti aircraft gunners. 10 October 1992 - An Azerbaijani Su-25 is shot down by Armenian fire in Malibeyli, the pilot could not managed to eject and perished. 12 November 1992 - An Armenian Mi-24 is shot down by Azerbaijani fire. 7 December 1992 - An Azerbaijani Mi-24 is shot down by Armenian fire the Martuni region. 7 December 1992 - An Azerbaijani Su-25 is shot down by Armenian fire the Martuni region. 13 June 1992 - An Azerbaijani Su-25 piloted by Vagif Gurbanov was shot down. Gurbanov was killed and awarded the title National Hero of Azerbaijan. 15 January 1993 - An Azerbaijani Mig-21 was shot down by Armenian fire. 1 September 1993 - An Azerbaijani Mi-24 was shot down by Armenian fire. 18 January 1994 - An Armenian Su-25 is shot down by Azerbaijani fire. 17 February 1994 - An Azerbaijan Mig-21 is shot down in Vedenis region of Armenia, the pilot is captured. 17 March 1994 – Iranian Air Force C-130 was shot down by Armenian forces en route from Moscow to Iran. 23 April 1994 - An Azerbaijani attack by 7 Su-25 in Stepanakert ends with one Su-25 shot down by air defense. The Azerbaijani side acknowledged the loss but described it as an accident. Later Nagorno-Karabakh conflict 1994-present 12 September 2011 - A UAV was reportedly shot down by the ARDA over the airspace of the unrecognized Republic of Artsakh. Preliminary investigations carried out by the ARDA have determined the model to be a Hermes 450 drone. 12 November 2014 – An Armenian Mil Mi-24 is shot down by Azerbaijani forces, killing the crew of three. 2 April 2016 – During a clash between Azerbaijani and Armenian forces, an Azerbaijani Mil Mi-24 helicopter was shot down by Artsakh Republic forces. The downing was confirmed by the Azerbaijani defense ministry. 21 April 2020 – An Azerbaijani Orbiter-3 UAV was shot down by an Armenian 9K33 Osa missile system over the Artsakh. (2) 27 September 2020 – The Defense Ministry of Azerbaijan confirmed the loss of one helicopter but said that the crew survived the crash. On late December 2020 Armenian social media published footage of an Azerbaijani Mi-17 helicopter crashing in Nagorno Karabakh, Lt. Coronel Ramiz Gasimov, the pilot is seen ejecting the helicopter however he died by wounds after being in coma on October 22, 2020. During the war Azerbaijan officially recognized lossing two helicopters. 28 September 2020 – An Azerbaijani Antonov An-2 was shot down by Armenian Anti aircraft artillery near the town of Martuni, Nagorno-Karabakh. 29 September 2020 – Armenian Defense Ministry claimed that an Armenian Air Force Su-25 was shot down by a Turkish Air Force F-16 killing the pilot. However Turkey denied the event. 4 October 2020, An Azerbaijani Air force Su-25 attack aircraft is shot down by Armenian forces while targeting Armenian positions in Fuzuli. The pilot, Col. Zaur Nudiraliyev died in the crash. Azerbaijani officials acknowledged the loss in December 2020. 19 October 2020, A Turkish-made Bayraktar TB2 operated by Azerbaijan is reported shot down by air defense weapons of Armenian Army over the skies of Nagorno Karabakh. 8 November 2020, another Azerbaijani Bayraktar TB2 was shot down by air defense weapons on southeastern Nagorno Karabakh. 9 November 2020 - A Russian Mi-24 combat helicopter was shot down by Azerbaijani forces near the border with Armenia. Two crewmembers died and a third was wounded. The government of Azerbaijan stated the shootdown was an accident and offered an apology. Gulf War (1990–1991) Iraqi no-fly zones (1991–2003) 20 March 1991 – USAF F-15C vs. IRAF Su-22 – In accordance with the ceasefire, an F-15C shoots down an Iraqi Su-22 bomber with an AIM-9 missile. 27 December 1992 – USAF F-16 vs. IRAF MiG-25 – A MiG-25 crossed the no-fly zone and an F-16D shot it down with an AIM-120 AMRAAM missile. It is the first kill with an AIM-120, and also the first USAF F-16 kill. 17 January 1993 – USAF F-16 vs. IRAF MiG-23 – A USAF F-16C shoots down a MiG-23 when the MiG locks the F-16 up. (2) 14 April 1994 – UH-60 Black Hawk friendly fire shootdown incident 23 December 2002 – USAF RQ-1 Predator vs. IRAF MiG-25 – In what was the last aerial victory for the Iraqi Air Force before Operation Iraqi Freedom, an Iraqi MiG-25 shot down an American UAV RQ-1 Predator after the drone opened fire on the Iraqi aircraft with a Stinger missile. Croatian War of Independence (1991–1995) 1992 European Community Monitor Mission helicopter downing (January 7, 1992) First Abkhazia War (1992-93) - 5 September 1992: A Georgian Army helicopter is shot down by 14.5mm heavy machine-gun fire from Abkhazian fighters. - 14 December 1992: Georgian forces shot down a Russian Mi-8 helicopter using SA-14 MANPADs, killing 3 crewmembers and 56 passengers mostly Russian refugees. - December 1992: Russian and Abkhazian force shot down a Georgian Mi-8 with a SA-7 or SA-14 missile. - 15 January 1993: Georgian forces shot down a Russian Su-25 ground attack fighter near Tkvaritchely. - 15 January 1993: A Georgian Mi-8 helicopter is shot down in the area as well. - 19 March 1993: A Russian Air Force Su-27S flew to intercept two Georgian Su-25s aproaching Suchumi area, the Russian Su-27 was destroyed by a SA-2 missile. The Pilot Maj. Schipko was killed. - 3 July 1993: Georgian forces shot down a Russia Su-25 over Suchumi. - 4 July 1993: Georgian forces shot down two Russian aircraft one Yak-52 reconnaissance aircraft and a Mi-8T during the Siege of Tkvarcheli. - 4 July 1993: Russian and Abkhazian forces shot down a Georgian Su-25 with a SA-14 fire over Nizhnaya Eshera. - 5 July 1993: Georgian forces reported the loss of a Su-25 to friendly fire. - 7 July 1993: Abkhazians shot down a Georgian Mi-8 while evacuating refugees from Suchumi, killing 20 persons. - 30 September 1993: Abkhazians shot down another Georgian Mi-8 near Racaka. - 4 October 1993: Abkhazians shot down another Georgian Mi-8 transporting 60 refugees en ruote from Abkhazia to Svanetya. - December 1993: Abkhazians shot down a Georgian helicopter, likely a Mi-24 before OSCE Ceasefire. Bosnian War (1992–1995) 3 September 1992 – An Italian Air Force (Aeronautica Militare Italiana) G.222 was shot down when approaching Sarajevo airfield, while conducting a United Nations relief mission. It crashed from the airfield; a NATO rescue mission was aborted when 2 USMC CH-53 helicopters came under small arms fire. The cause of the crash was determined to be a surface-to-air missile, but it was not clear who fired it. Everyone on board – four Italian crew members and four French passengers – died in the crash. (5) 28 February 1994 – Banja Luka incident 16 April 1994 – A Sea Harrier of the 801 Naval Air Squadron, operating from the aircraft carrier HMS Ark Royal, was brought down by an Igla-1 surface-to-air missile fired by the Army of Republika Srpska while attempting to bomb two Bosnian Serb tanks over Gorazde. The pilot, Lieutenant Nick Richardson, ejected and landed in territory controlled by friendly Bosnian Muslims. 2 June 1995: USAF F-16 piloted by Captain Scott O’Grady shot down by a Serb SA-6. Pilot rescued by Marines seven days after shoot-down. See Mrkonjić Grad incident 30 August 1995 – one French Air Force Mirage 2000N-K2 was shot down over Bosnia by a MANPADS heat-seeking 9K38 Igla missile fired by air defence units of Army of Republika Srpska during operation Deliberate Force. Both pilots were captured by Serbian forces. United Nations Operation in Somalia (1992–1995) (2) 3 October 1993 – Battle of Mogadishu (1993) Venezuelan coup d'état attempt (November 1992) (3) 27 November 1992 - Three OV-10 Bronco aircraft flown by rebel pilots were shot down over Caracas, at least one by a loyalist F-16. Aegean dispute (2) On 22 July 1974, during the Turkish invasion of Cyprus, a pair of Greek F-5Αs intercepted a pair of Turkish F-102 near Agios Efstratios. The aircraft engaged in a dogfight, during which one of the Turkish pilots fired a Falcon missile against one of the F-5As piloted by Thomas Skampardonis. Skampardonis managed to evade the missile and then the other Greek pilot Ioannis Dinopoulos, who up to that point was undetected by the Turks, fired AIM-9B missiles. The first AIM-9 missed its target but the second shot down one of the F-102s. The pilot of the remaining F-102 became disoriented and fled westwards. When he realized his mistake, he turned east towards the Turkish coast but ran out of fuel. This forced him to ditch his aircraft and crash, suffering fatal injuries. On 18 June 1992, a Greek Mirage F1CG crashed near the island of Agios Efstratios in the Northern Aegean, during a low-altitude dogfight with two Turkish F-16s. Greek pilot Nikolaos Sialmas was killed in the crash. Οn 8 February 1995, a Turkish F-16C crashed on the sea after being intercepted by a Greek Mirage F1CG. The Turkish pilot Mustafa Yildirim bailed out and was rescued by a Greek helicopter. After brief hospitalization in Rhodes, the pilot was handed over to the Turkish side. On 27 December 1995, a pair of Greek F-16Cs intercept a pair of Turkish F-4E. During the dogfight that followed, one of the Turkish aircraft went into a steep dive and crashed into the sea, killing its pilot Altug Karaburun. The co-pilot Ogur Kilar managed to bail out safely and was rescued by a Greek ΑΒ-205 helicopter. He was returned to Turkey after receiving first aid treatment in Lesbos. On 8 October 1996 – 7 months after the escalation of the dispute with Turkey over the Imia/Kardak islands, a Greek Mirage 2000 fired an R.550 Magic II missile and shot down a Turkish F-16D over the Aegean Sea. The Turkish pilot died, while the co-pilot ejected and was rescued by Greek forces. In August 2012, after the downing of a RF-4E on the Syrian Coast, Turkish Defence Minister İsmet Yılmaz confirmed that the Turkish F-16D was shot down by a Greek Mirage 2000 with an R.550 Magic II in 1996 after reportedly violating Greek airspace near Chios island. Greece denies that the F-16 was shot down. Athens says that Turkish pilot reported a control failure. It also claims that the jet violated Greece's airspace because one of the Turkish pilots was rescued in the Greek flight information region. Both Mirage 2000 pilots reported that the F-16 caught fire and they saw one parachute. / On 23 May 2006, a Greek F-16 and a Turkish F-16 collided approximately 35 nautical miles south off the island of Rhodes, near the island of Karpathos during a Turkish reconnaissance flight involving two F-16Cs and a RF-4. Greek pilot Kostas Iliakis was killed, whereas the Turkish pilot Halil İbrahim Özdemir bailed out and was rescued by a cargo ship. Insurgency in Ogaden (1994-2018) 18 July 2006 – An Ethiopian airforce Mil Mi-8 was shot down by the Ogaden National Liberation Front near Gabo Gabo killing 26. Cenepa War (1995) 29 January 1995 - A Peruvian Mil Mi-8 was shot down by Ecuadorian forces using a Blowpipe missile between Base Sur and Coangos, killing five. 7 February 1995 - A Peruvian Mil Mi-24 was shot down by Ecuadorian forces using a 9K38 Igla missiles at Base Sur, killing three. ("3") 11 February 1995 - Two Peruvian Sukhoi Su-22 and a Cessna A-37 Dragonfly were shot down by Ecuadorian Dassault Mirage F1s and IAI Kfir. 11 February 1995 - A Ecuadorian A-37 was shot down by Peruvian forces using MANPADS. 17 February 1995 - A Peruvian Mil Mi-8 was hit by AAA fire and crash landed. Eritrean–Ethiopian War (1998-2000) 2 June 1998 - An Ethiopian MiG-23BN was shot down by Eritrean Anti aircraft fire while doing a bombing run on Asmara International Airport. 6 June 1998 - An Ethiopian Mig-21 was shot down by Eritrean anti-aircraft fire. 6 June 1998 - An Etrirean Aermacchi MB-339 was shot down by Ethriopia north of Mekelle. 14 February 1999 - An Ethiopian Mi-24 Attack helicopter ethier crashed or was shot down near Burre. 25 February 1999 - An Eritrean Mig-29 was shot down by a R-73 Air to air missile fired from a Su-27, the Mig-29 crashed near Badme. 26 February 1999 - An Eritrean Mig-29 was shot down near Badme by an Ethiopian Su-27 piloted by Aster Tolossa. (2) On 26 February 1999, Two Ethiopian Mig-21 were shot down by Eritrean MIG-29s. 15 May 2000 - An Ethiopian Mi-35 was shot down attacking a water tank near Barentu by Eritrean ZSU-23 fire. 16 May 2000 - An Eritrean MiG-29 was shot down my Ethiopian Su-27s. 16 May 2000 - An Eritrean MiG-29 was damaged by an Ethiopian Su-27s and later crash landed at Asmara. NATO bombing of Yugoslavia (1999) (2) 24 March 1999 – two Yugoslav Air Force MiG-29 were shot down by two USAF F-15C with AMRAAM missiles. 24 March 1999 – During Operation Allied Force, Royal Netherlands Air Force F-16AM J-063 flown by Major Peter Tankink shot down one Yugoslavian MiG-29, flown by Lt. Colonel Milutinović, with an AMRAAM missile. The pilot of the stricken jet ejected safely. This marked the first air-to-air kill made by a Dutch fighter since WW2. (2) 26 March 1999 – two Yugoslavian MiG-29 were shot down by two USAF F-15C with AMRAAM missiles. 27 March 1999 – 1999 F-117A shoot-down An American F-117A Nighthawk stealth bomber was shot down over Belgrade by a Soviet made S-125E (NATO: SA-3). The pilot ejected safely and the plane's wreckage was recovered by Serbian special forces. It was the only stealth aircraft to be shot down by a surface to air missile. 2 May 1999 – a USAF F-16CG was shot down over Serbia. It was downed by an S-125 Neva SAM (NATO: SA-3) near Nakucani. Its pilot; Lt. Col David Goldfein, 555th Fighter Squadron commander, managed to eject and was later rescued by a combat search-and-rescue (CSAR) mission. The remains of this aircraft are on display in the Yugoslav Aeronautical Museum, Belgrade International Airport. 4 May 1999 – A lone Yugoslav MiG-29 flown by Lt. Col. Milenko Pavlović attempted to intercept a large NATO formation that was returning to base having just bombed Valjevo (the pilot's home town). It was engaged by a pair of USAF F-16CJs from the 78th Fighter Squadron and shot down with AIM-120, killing the pilot with the falling wreckage also being hit by a Strela 2M fired by the Yugoslav army in error. India–Pakistan military confrontation (1996, 1999 and 2019) 26 August 1996 – During the Siachen conflict over the disputed Siachen Glacier region in Kashmir, an Indian Mi-17 helicopter was shot down by Pakistani forces with a surface to air missile. Four crew members died in the crash. 2 July 1997 – During the Siachen conflict over the disputed Siachen Glacier region in Kashmir, an Indian HAL Cheetah helicopter was shot down by Pakistani forces. Both pilots died in the crash. 27 May 1999 – During the Kargil War in the Kashmir region, one Indian Air Force MiG-27 was lost to an engine problem. Its wingman, flying in a MiG-21 was shot down by a MANPADS while trying to locate the downed MiG-27 pilot. 28 May 1999 - An Indian Air Force strike formation composed by four Mi-17 helicopters came under fire by MANPADS, one was hit and shot down, killing all four on board. 10 August 1999 – Pakistan Naval Air Arm Atlantique shootdown. The Atlantique plane was shot down by an IAF MiG-21 of the 45th Indian Air Force Squadron using a R-60 infrared homing missile. 27 February 2019 – India confirmed that it lost one MiG-21 from the 51st fighter squadron in an air skirmish with the Pakistan Air Force (PAF). 4 March 2019 - Sukhoi Su-30MKI of the Indian Air Force shot down a Pakistani drone in Bikaner, Rajasthan at 11:30 am (local time). Another Pakistan surveillance drone was shot down by SPYDER missile defence system in Gujrat on 26 February 2019. Second Chechen War (1999–2009) Khankala Mi-26 shootdown (August 19, 2002) War in Afghanistan (2001–2021) Iraq War (2003–2011) Chadian Civil War (2005–2010) 28 November 2006 – Chadian Air Force plane was shot down by UFDD rebels near the town of Abeche. Rebels also claimed to have shot down a helicopter which was not confirmed by the government. 2006 Lebanon War 12 August 2006 - Hezbollah fighters shot down an Israeli CH-53 Yas'ur with an anti-tank missile, killing five air crew members. Mexican drug war (2006-present) 1 May 2015 – A Mexican airforce Eurocopter EC725 (sometimes incorrectly referred to as a Blackhawk) was shot down by Jalisco New Generation Cartel using RPG-7s. The helicopter crashed, killed eight on board. Russo-Georgian War (2008) (3) 20 April 2008 – Georgian officials claimed a Russian MiG-29 shot down a Georgian Hermes 450 unmanned aerial vehicle and provided video footage from the ill-fated drone showing an apparent MiG-29 launching an air-to-air missile at it. Russia denies that the aircraft was theirs and says they did not have any pilots in the air that day. Abkhazia's administration claimed its own forces shot down the drone with an L-39 aircraft "because it was violating Abkhaz airspace and breaching ceasefire agreements". UN investigation concluded that the video was authentic and that the drone was shot down by a Russian MiG-29 or Su-27 using a R-73 heat seeking missile. 8 August 2008 – The first Russian Air Force loss of the campaign was a Su-25, piloted by Lieutenant Colonel Oleg Terebunsky of the 368th Attack Aviation Regiment. It was shot down over South Ossetia near the Zarsk pass, between Dzhava and Tskhinvali. It was hit by friendly fire, a MANPADS missile fired by South Ossetian militia at around 18:00. Earlier in the day, a flight of four Georgian Air Force Su-25 planes had attacked a Russian army convoy in the same area. This was one of the few missions conducted by Georgia's Su-25s during the brief conflict Georgia believed its aircraft would soon become easy targets for Russian interceptors. The Georgian aircraft returned to their bases and were hidden under camouflage netting to prevent them from being located. 9 August 2008 – a Russian Tu-22M3 was shot down in South Ossettia by a Georgian Buk-M1 surface-to-air-missile system during the Russo-Georgian War. Three of the four crew members were killed, while the co-pilot was taken POW by Georgian forces. 9 August 2008 - A Russian Su-24 was shot down by Georgian air defense forces with an anti-aircraft missile south of Tskhinvali during the morning. Both pilots ejected, but the co-pilot died impacting the ground when his parachute was damaged by fire. The wounded pilot was captured by Georgian forces. This loss was not initially acknowledged by Russia, while verified later by independent sources. The captured pilot, Major Igor Zinov, was shown on Georgian TV while being hospitalized together with the co-pilot of the downed Tu-22MR. 9 August 2008 – A Russian Su-25 piloted by Colonel Sergey Kobylash, commander of the 368th Attack Aviation Regiment, was hit by a Georgian MANPADS during a daylight strafing run on a Georgian military formation south of Tskhinvali, on the Gori-Tskhinvali road at 10:30: after making his initial approach, Kolybash's aircraft was struck by a missile that hit his left engine, destroying it. Not long after, as Kobylash was returning to base at an altitude of 1000 meters, a second MANPADS missile struck his right engine, leaving the plane without thrust. Kobylash was able to glide to Russian controlled territory before ejecting north of Tskhinvali in a South Ossetian village of the Georgian enclave in the Great Liakh gorge, where he was recovered by a Russian combat search and rescue team. Shortly after Kobylash was rescued, South Ossetian militants claimed they had downed a Georgian Su-25, however Georgian Air Force did not operate since the day before, likely making the second fatal hit on this Su-25 another friendly fire incident. 9 August 2008 – The final Russian aircraft lost in combat was a Su-24, which was shot down by friendly forces while it was escorting a Russian column on the Tskhinvali-Gori highway, when it was hit by a Russian SAM. The crew ejected and was recovered by a search and rescue helicopter. Boko Haram insurgency (2009-Present) 11 September 2014 – One Nigerian Air Force Alpha Jet either crashed or was shot down while on operations against Boko Haram near the town of Yola. The two pilots were captured and later beheaded. 31 March 2021 – One Nigerian Air Force Alpha Jet 475 serial number 475 crashed. Boko Haram released footage purportedly showing themselves downing the plane. Syrian Civil War (2011–present) First Libyan Civil War (2011) Nigerian bandit conflict (2011–Present) 19 July 2021 – in a rare case of a military jet being brought down by a criminal gang, one Nigerian Air Force Alpha Jet was shot down by bandits in Kaduna State after a combat mission against the gangs and coming under intense ground fire. The pilot ejected and evaded capture till reaching an Army base. Central African Republic Civil War (2012-present) 23 March 2013 – Séléka rebels allegedly shot down helicopter while advancing on Bangui. Second Libyan Civil War (2014–2020) 22 March 2015 – One NSG fighter jet was shot down on 24 March 2015 at Al-Zintan by LNA fighters near Al-Zintan airport. 6 May 2015 – One NSG MiG-25PU jet fighter operated by Libyan Dawn group was lost over Zintan, the pilot was captured by Libyan National Army forces. ("2") 11 June 2015 – Two NSG L-39 Fighters operated by Libyan Dawn group from Misrata are destroyed by ISIS fighters in an Airbase in Sirte. 4 January 2016 – A LNA MiG-23ML serial number "6472" crashes near Benina airbase, the pilot ejected and survived. 8 February 2016 – A LNA MiG-23ML serial number "6132" crashed near Derna after attacking Islamic State positions. 12 February 2016 – LNA MiG-23UB crashed or was shot down near Qaryounis district. The pilots ejected and survived. 18 May 2016 - A Libyan Mig-21 crashed upon landing in Tobruk. 2 June 2016 - A GNA Dassault Mirage F1 fighter crashes after taking-off by a mechanical failure, 30 km of Sirte. 5 July 2016 - A LNA MiG-23BN fighter crashed after a technical failure. 10 August 2016 - A L-39 is shot down possibly by ISIS militants fire near Sirte. 22 December 2016 - A NSG Mig-23UB operated by Libyan Dawn Group from Misrata crashed in unknown circumstances en route to Tarhuna. 15 January 2017 - A LNA Mig-23ML is lost over Ganfouda/Bosnib area, near Benghazi during a combat mission. 18 March 2017 - A LNA Mig-21 shot down by a heat seeking missile fired by Jihadists near Suq al-Hut. 29 March 2017 - A LNA Mig-21 fighter crashed result of a technical failure on a house killing his 3 occupants, the pilot dies as well. 29 July 2017 – A LNA Mig-21, was shot down by the Islamists during its bombing raid on the town of Derna. Pilots ejected safely but were captured by the Islamists and executed. 10 April 2019 - LNA forces claim to have shot down a GNA L-39 that took off from Misrata. 14 April 2019 – GNA forces shot down a LNA MiG-21MF in the area of Ain Zara, Tripoli, with a Chinese-made FN-6 MANPADS, its pilot Jamal Ben Amer ejected safely and survived, being retrieved by LNA Mi-35 helicopter. 23 April 2019 - A GNA Dassault Mirage F1 is shot down possibly by friendly fire or by GNA forces. 7 May 2019 - A GNA Government Dassault Mirage F1 is shot down by Haftar forces. The pilot was captured by LNA forces. 14 May 2019 - A GNA drone is destroyed by LNA defenses in Al -Jufra area. ("2") 6 June 2019 - Two GNA Bayraktar TB2 drones are destroyed along an operation room by LNA attacks on Mitiga Airport. 13 June 2019 - A GNA L-39 fighter is lost by enemy fire or a technical failure on Al-Dafiniya. 13 June 2019 - A GNA Air force helicopter is reported shot down by the LNA near the city of Misrata. GNA acknowledged the loss of the helicopter but ruled out it was shot down and attributed the loss to an accident. 30 June 2019 - A GNA Bayraktar Tactical UAS drone is destroyed by LNA defenses. 4 July 2019 - A GNA Air Force L-39 is shot down by General Haftar forces near Tarhuna, 80 km southeast of Tripoli. GNA forces acknowledged the loss. ("2") 25 July 2019 - Two LNA Ilyushin Il-76TD cargo planes are destroyed in the ground in al-Jufra Air base by an attack made by Bayraktar TB2 drones. 25 July 2019 - A GNA Bayraktar TB2 drone is shot down near al-Jufra airbase during the same attack. ("2") July 2019 - Two GNA Orbiter-3 scout drones are destroyed by LNA defenses one in Tripoli and another in Sidra. 3 August 2019 - A LNA Wing Loong II combat drone is shot down by the GNA defenses over Misrata. 6 August 2019 - A GNA Ilyushin Il-76TD cargo plane is destroyed in the ground on Misrata Airport by a LNA Wing Long drone. 7 August 2019 - A GNA L-39 fighter reported destroyed by LNA armed forces when landing in Misrata. 18 October 2019 - A LNA Wing Loong II combat drone is shot down in Misrata by a surface-air missile. 21 November 2019 - An Italian MQ-9 Reaper UAV is shot down by LNA air defense forces in Suq al Ahad area, north of Tarhouna. According to LNA Spokesperson Ahmad al-Mesmari the Italian drone was violating the LNA airspace. The drone was believed to be shot down by Pantsir air defenses. 21 November 2019 - A US MQ-9 Reaper UAV is shot down over Libya, AFRICOM officials believed the drone was shot down by Russian defense systems. 7 December 2019 - A LNA Mig-23ML is shot down by GNA forces in the Yarmouk frontline in southern Tripoli and crashed in Al-Zawiya city. The pilot ejected and was captured by GNA forces. 14 December 2019 – A GNA Bayraktar TB2 drone is shot down in Ain Zara, Tripoli. 2 January 2020 - A GNA Bayraktar TB2 drone is shot down south of Mitiga Airport, Tripoli. 22 January 2020 - A GNA Bayraktar TB2 drone with GNA markings is shot down by LNA forces after taking off from Mitiga International Airport. 28 January 2020 - A LNA Wing Loong II combat drone is shot down near Misrata. 25 February 2020 – The LNA shoot down a GNA Turkish made Bayraktar TB2 drone, prviding a video of the wreck. 26 February 2020 – The LNA shoot down another GNA Turkish-made Bayraktar TB2 drone, providing video of the wreck. ("2") 28 February 2020 – LNA shot down two GNA drones in Qasr bin Ghashir and Wadi al-Rabie. ("2") 31 March 2020 – LNA shot down two GNA Bayraktar TB2 combat drones near Tripoli; one in Misrata Air College and another in Al-Tawaisha. 2 April 2020 - LNA forces air defences shot down a GNA L-39 fighter, near Abu Qurayn. Both pilots were killed. 5 April 2020 – An Antonov An-26 transport plane was destroyed on an airstrip near Tarhuna, Libya. Forces of the Government of National Accord (GNA) reported that it had shot an Antonov cargo plane carrying ammunition for Libyan National Army (LNA) militias. LNA confirmed the attack but stated that the aircraft carried medical supplies. 5 April 2020 – A GNA Bayraktar TB2 drone is shot down by LNA forces in Alwashka, Libya. 6 April 2020 - A GNA IAI Harpy/Harop loitering munition drone is reported destroyed in Libya. 11 April 2020 – A GNA Bayraktar TB2 drone is shot down in Tarhuna. 14 April 2020 - A GNA Dassault Mirage F1 fighter is shot down by LNA forces operating Pantsir-S. 16 April 2020 - A GNA Bayraktar TB2 drone was shot down near Tarhuna. ("2") 17 April 2020 – Two GNA Bayraktar TB2 drones are shot down; one near Bani Walid and another in the South near Wadi dinar. 18 April 2020 - A GNA Bayraktar TB2 drone is shot down by LNA forces south of Tripoli. 19 April 2020 - A combat drone is shot down in Alwhaska, near Misrata, GNA sources claimed the downed drone was a LNA Wing Loong II in turn LNA claimed they shot down a TAI Anka combat drone, however a UN Security Council report asserted the downed drone was a TAI Anka drone operated by GNA. 2 May 2020 - A GNA Bayraktar TB2 drone is destroyed at Arada, near Mitiga Airport, downed by LNA forces. 9 May 2020 - Mortar fire from LNA forces struck Tripoli's Mitiga International Airport destroying a GNA Airforce Il-78 Military Transport. 12 May 2020 - A GNA Bayraktar TB2 drone is shot down near Ash Shwayrif, Tripoli. 17 May 2020 - LNA and GNA sources dispute the shot down of an enemy combat drone dear Al-Watiya Airbase. ("2") 21 May 2020 – Libyan National Army's Pantsir missile system shot down two GNA drones; one TAI Anka drone near Tarhuna city and one Bayraktar TB2 drone near Jebel Sherif. 24 May 2020 - One LNA Wing Loong II combat drone is shot down by friendly fire from LNA Pantsir air defenses over Libya. 7 June 2020 - A GNA Bayraktar TB2 drone was shot down by LNA forces near Sirte. 8 June 2020 - A GNA Bayraktar TB2 drone was shot down by LNA forces as it attempted to bomb LNA forces in Sirte. War in Donbass (2014–present) Saudi Arabian-led intervention in Yemen (2015–present) Insurgency in Northern Chad (2016-present) 29 April 2021 – rebels from FACT claimed to have destroyed a helicopter near Nokou in Kanem. A military spokesman stated that the helicopter claimed to have been shot down by rebels crashed due to "technical failures" far from the battlefield. Insurgency in Cabo Delgado (2017-present) 8 April 2020 – Mozambique Air Force Gazelle helicopter was damaged by small arms fire by ISIS and reportedly crashed down. ISIS released footage of the downed helicopter. 23 June 2021 – Mozambique Air Force Mil Mi-17 crashed after being hit by small arms fire near Afungi camp. Persian Gulf crisis (2019-present) 20 June 2019 - 2019 Iranian shoot-down of American drone: The Iranian Revolutionary Guard Corps shot down an American RQ-4A Global Hawk over the Strait of Hormuz. The United States responded with cyberattacks against Iranian air defense infrastructure. 18 July 2019 - The Pentagon alleged that the amphibious assault ship shot down or jammed at least one Iranian drone during operations in the Persian Gulf. Iranian officials denied this claim. Tigray War (2020-present) On 29 November 2020, an Ethiopian Air Force MiG-23 crashed during the Tigray conflict near Abiy Addi, 50 kilometers west of Mekelle. The pilot ejected and was captured by the Tigray People's Liberation Front who claimed they shot it down, showing the pilot with his Zsh-7 flying helmet (originally intended for Su-27 and MiG-29), a flight suit, a MiG-23 English manual and the crash site with charred metal parts. On 6 December 2020, an Ethiopian Air Force MiG-23 crashed 425 meters from Shire Inda Selassie airport. On 20 April 2021, An Ethiopian Mi-35 either crashed or was shot down near Guya killing three. The TDF claims to have shot it down and released a video of the crashed helicopter. On 23 June 2021, An Ethiopian Air Force Lockheed L-100 Hercules, serial number 5022 carrying carrying explosives, military officers, and Eritrean camouflage uniforms was shot down near Gijet. On 11 November 2021, an Ethiopian Mi-35 helicopter was shot down by the TDF in the district of Mille. Russian Invasion of Ukraine (2022-present) 24 February 2022 – six Russian jets (type not yet known) have been reported shot down during first days of Russian invasion of Ukraine. Same reports also mention Russian helos shot down. One of the Russian jet pilots has been reportedly captured alive. https://www.cnn.com/europe/live-news/ukraine-russia-news-02-24-22-intl/h_b0e5cbdca7c91d658e80ac4ef5549012. Civilian aircraft List of airliner shootdown incidents – dealing with civilian airliners 1996 shootdown of Brothers to the Rescue aircraft - Two civilian Cessna Skymasters operated by the activist group Brothers to the Rescue were engaged by the Cuban air force and shot down north of Havana. Colombian Civil War (1964-present) 2001 Peru shootdown - A Cessna 185 floatplane flown by a Christian missionary was shot down by a Cessna A-37 Dragonfly operated by the Peruvian Air Force after it was mistaken for a drug smuggling plane during patrols conducted under the Air Bridge Denial Program, in cooperation with the CIA. 13 May 2015 - A Hawker 800 carrying 1.2 metric tons of cocaine was intercepted by first the Venezuelan and then the Colombian air force. Venezuelan officials claimed to have shot down the jet, while Colombian officials claimed that it suffered an engine failure and crashed. The body of the aircraft's pilot was later recovered by the Colombian coast guard. Brazilian Drug War (Circa 1980-Present) 17 October 2009 - A police helicopter of the Rio De Janeiro police force was shot down by gang members during a shootout with police and exploded on a football field, killing two police officers. The event was captured on video by a television cameraman who was embedded with the police on the ground. 19 November 2016 - In a similar incident, another Rio de Janeiro police helicopter was shot down by small arms fire during a clash with gang members and crashed in a ditch. All four police officers onboard were killed. Somali Civil War (1991-Present) 28 January 2001- A private light aircraft delivering khat was shot down by an RPG. 4 May 2020- An Embraer EMB 120 Brasilia was shot down in a friendly fire incident by Ethiopian force, the aircraft craft killing six on board. See also List of Russian aircraft losses in the Second Chechen War List of aviation shootdowns and accidents during the Iraq War List of combat losses of United States military aircraft since the Vietnam War Notes Bibliography Polack, Peter. The Last Hot Battle of the Cold War: South Africa vs. Cuba in the Angolan. Casemate Publishers. . Aircraft shootdown incidents Shootdowns
9764
https://en.wikipedia.org/wiki/Emma%20Goldman
Emma Goldman
Emma Goldman (, 1869May 14, 1940) was an anarchist political activist and writer. She played a pivotal role in the development of anarchist political philosophy in North America and Europe in the first half of the 20th century. Born in Kaunas, Russian Empire (now Lithuania), to a Jewish family, Goldman emigrated to the United States in 1885. Attracted to anarchism after the Chicago Haymarket affair, Goldman became a writer and a renowned lecturer on anarchist philosophy, women's rights, and social issues, attracting crowds of thousands. She and anarchist writer Alexander Berkman, her lover and lifelong friend, planned to assassinate industrialist and financier Henry Clay Frick as an act of propaganda of the deed. Frick survived the attempt on his life in 1892, and Berkman was sentenced to 22 years in prison. Goldman was imprisoned several times in the years that followed, for "inciting to riot" and illegally distributing information about birth control. In 1906, Goldman founded the anarchist journal Mother Earth. In 1917, Goldman and Berkman were sentenced to two years in jail for conspiring to "induce persons not to register" for the newly instated draft. After their release from prison, they were arrested—along with 248 others—in the so-called Palmer Raids during the First Red Scare and deported to Russia. Initially supportive of that country's October Revolution that brought the Bolsheviks to power, Goldman changed her opinion in the wake of the Kronstadt rebellion; she denounced the Soviet Union for its violent repression of independent voices. She left the Soviet Union and in 1923 published a book about her experiences, My Disillusionment in Russia. While living in England, Canada, and France, she wrote an autobiography called Living My Life. It was published in two volumes, in 1931 and 1935. After the outbreak of the Spanish Civil War, Goldman traveled to Spain to support the anarchist revolution there. She died in Toronto, Canada, on May 14, 1940, aged 70. During her life, Goldman was lionized as a freethinking "rebel woman" by admirers, and denounced by detractors as an advocate of politically motivated murder and violent revolution. Her writing and lectures spanned a wide variety of issues, including prisons, atheism, freedom of speech, militarism, capitalism, marriage, free love, and homosexuality. Although she distanced herself from first-wave feminism and its efforts toward women's suffrage, she developed new ways of incorporating gender politics into anarchism. After decades of obscurity, Goldman gained iconic status in the 1970s by a revival of interest in her life, when feminist and anarchist scholars rekindled popular interest. Biography Family Emma Goldman was born into an Orthodox Jewish family in Kovno in the Russian Empire, which is now known as Kaunas in Lithuania. Goldman's mother Taube Bienowitch had been married before to a man with whom she had two daughters—Helena in 1860 and Lena in 1862. When her first husband died of tuberculosis, Taube was devastated. Goldman later wrote: "Whatever love she had had died with the young man to whom she had been married at the age of fifteen." Taube's second marriage was arranged by her family and, as Goldman puts it, "mismated from the first". Her second husband, Abraham Goldman, invested Taube's inheritance in a business that quickly failed. The ensuing hardship, combined with the emotional distance between husband and wife, made the household a tense place for the children. When Taube became pregnant, Abraham hoped desperately for a son; a daughter, he believed, would be one more sign of failure. They eventually had three sons, but their first child was Emma. Emma Goldman was born on June 27, 1869. Her father used violence to punish his children, beating them when they disobeyed him. He used a whip on Emma, the most rebellious of them. Her mother provided scarce comfort, rarely calling on Abraham to tone down his beatings. Goldman later speculated that her father's furious temper was at least partly a result of sexual frustration. Goldman's relationships with her elder half-sisters, Helena and Lena, were a study in contrasts. Helena, the oldest, provided the comfort the children lacked from their mother and filled Goldman's childhood with "whatever joy it had". Lena, however, was distant and uncharitable. The three sisters were joined by brothers Louis (who died at the age of six), Herman (born in 1872), and Moishe (born in 1879). Adolescence When Emma Goldman was a young girl, the Goldman family moved to the village of Papilė, where her father ran an inn. While her sisters worked, she became friends with a servant named Petrushka, who excited her "first erotic sensations". Later in Papilė she witnessed a peasant being whipped with a knout in the street. This event traumatized her and contributed to her lifelong distaste for violent authority. At the age of seven, Goldman moved with her family to the Prussian city of Königsberg (then part of the German Empire), and she was enrolled in a Realschule. One teacher punished disobedient students—targeting Goldman in particular—by beating their hands with a ruler. Another teacher tried to molest his female students and was fired when Goldman fought back. She found a sympathetic mentor in her German-language teacher, who loaned her books and took her to an opera. A passionate student, Goldman passed the exam for admission into a gymnasium, but her religion teacher refused to provide a certificate of good behavior and she was unable to attend. The family moved to the Russian capital of Saint Petersburg, where her father opened one unsuccessful store after another. Their poverty forced the children to work, and Goldman took an assortment of jobs, including one in a corset shop. As a teenager Goldman begged her father to allow her to return to school, but instead he threw her French book into the fire and shouted: "Girls do not have to learn much! All a Jewish daughter needs to know is how to prepare gefilte fish, cut noodles fine, and give the man plenty of children." Goldman pursued an independent education on her own. She studied the political turmoil around her, particularly the Nihilists responsible for assassinating Alexander II of Russia. The ensuing turmoil intrigued Goldman, although she did not fully understand it at the time. When she read Nikolai Chernyshevsky's novel, What Is to Be Done? (1863), she found a role model in the protagonist Vera. She adopts a Nihilist philosophy and escapes her repressive family to live freely and organize a sewing cooperative. The book enthralled Goldman and remained a source of inspiration throughout her life. Her father, meanwhile, continued to insist on a domestic future for her, and he tried to arrange for her to be married at the age of fifteen. They fought about the issue constantly; he complained that she was becoming a "loose" woman, and she insisted that she would marry for love alone. At the corset shop, she was forced to fend off unwelcome advances from Russian officers and other men. One man took her into a hotel room and committed what Goldman described as "violent contact"; two biographers call it rape. She was stunned by the experience, overcome by "shock at the discovery that the contact between man and woman could be so brutal and painful." Goldman felt that the encounter forever soured her interactions with men. Rochester, New York In 1885, her sister Helena made plans to move to New York in the United States to join her sister Lena and her husband. Goldman wanted to join her sister, but their father refused to allow it. Despite Helena's offer to pay for the trip, Abraham turned a deaf ear to their pleas. Desperate, Goldman threatened to throw herself into the Neva River if she could not go. Their father finally agreed. On December 29, 1885, Helena and Emma arrived at New York City's Castle Garden, the entry for immigrants. They settled upstate, living in the Rochester home which Lena had made with her husband Samuel. Fleeing the rising antisemitism of Saint Petersburg, their parents and brothers joined them a year later. Goldman began working as a seamstress, sewing overcoats for more than ten hours a day, earning two and a half dollars a week. She asked for a raise and was denied; she quit and took work at a smaller shop nearby. At her new job, Goldman met a fellow worker named Jacob Kershner, who shared her love for books, dancing, and traveling, as well as her frustration with the monotony of factory work. After four months, they married in February 1887. Once he moved in with Goldman's family, their relationship faltered. On their wedding night she discovered that he was impotent; they became emotionally and physically distant. Before long he became jealous and suspicious and threatened to commit suicide lest she left him. Meanwhile, Goldman was becoming more engaged with the political turmoil around her, particularly the aftermath of executions related to the 1886 Haymarket affair in Chicago and the anti-authoritarian political philosophy of anarchism. Less than a year after the wedding, the couple were divorced; Kershner begged Goldman to return and threatened to poison himself if she did not. They reunited, but after three months she left once again. Her parents considered her behavior "loose" and refused to allow Goldman into their home. Carrying her sewing machine in one hand and a bag with five dollars in the other, she left Rochester and headed southeast to New York City. Most and Berkman On her first day in the city, Goldman met two men who greatly changed her life. At Sachs' Café, a gathering place for radicals, she was introduced to Alexander Berkman, an anarchist who invited her to a public speech that evening. They went to hear Johann Most, editor of a radical publication called Freiheit and an advocate of "propaganda of the deed"—the use of violence to instigate change. She was impressed by his fiery oration, and Most took her under his wing, training her in methods of public speaking. He encouraged her vigorously, telling her that she was "to take my place when I am gone." One of her first public talks in support of "the Cause" was in Rochester. After convincing Helena not to tell their parents of her speech, Goldman found her mind a blank once on stage. She later wrote, suddenly: Excited by the experience, Goldman refined her public persona during subsequent engagements. She quickly found herself arguing with Most over her independence. After a momentous speech in Cleveland, she felt as though she had become "a parrot repeating Most's views" and resolved to express herself on the stage. When she returned to New York, Most became furious and told her: "Who is not with me is against me!" She left Freiheit and joined another publication, Die Autonomie. Meanwhile, Goldman had begun a friendship with Berkman, whom she affectionately called Sasha. Before long they became lovers and moved into a communal apartment with his cousin Modest "Fedya" Stein and Goldman's friend, Helen Minkin, on 42nd Street. Although their relationship had numerous difficulties, Goldman and Berkman would share a close bond for decades, united by their anarchist principles and commitment to personal equality. In 1892, Goldman joined with Berkman and Stein in opening an ice cream shop in Worcester, Massachusetts. After a few months of operating the shop, Goldman and Berkman were diverted to participate in the Homestead Strike near Pittsburgh. Homestead plot Berkman and Goldman came together through the Homestead Strike. In June 1892, a steel plant in Homestead, Pennsylvania, owned by Andrew Carnegie became the focus of national attention when talks between the Carnegie Steel Company and the Amalgamated Association of Iron and Steel Workers (AA) broke down. The factory's manager was Henry Clay Frick, a fierce opponent of the union. When a final round of talks failed at the end of June, management closed the plant and locked out the workers, who immediately went on strike. Strikebreakers were brought in and the company hired Pinkerton guards to protect them. On July 6, a fight broke out between 300 Pinkerton guards and a crowd of armed union workers. During the twelve-hour gunfight, seven guards and nine strikers were killed. When a majority of the nation's newspapers expressed support of the strikers, Goldman and Berkman resolved to assassinate Frick, an action they expected would inspire the workers to revolt against the capitalist system. Berkman chose to carry out the assassination, and ordered Goldman to stay behind in order to explain his motives after he went to jail. He would be in charge of "the deed"; she of the associated propaganda. Berkman set off for Pittsburgh on his way to Homestead, where he planned to shoot Frick. Goldman, meanwhile, decided to help fund the scheme through prostitution. Remembering the character of Sonya in Fyodor Dostoevsky's novel Crime and Punishment (1866), she mused: "She had become a prostitute in order to support her little brothers and sisters...Sensitive Sonya could sell her body; why not I?" Once on the street, Goldman caught the eye of a man who took her into a saloon, bought her a beer, gave her ten dollars, informed her she did not have "the knack," and told her to quit the business. She was "too astounded for speech". She wrote to Helena, claiming illness, and asked her for fifteen dollars. On July 23, Berkman gained access to Frick's office while carrying a concealed handgun; he shot Frick three times, and stabbed him in the leg. A group of workers—far from joining in his attentat—beat Berkman unconscious, and he was carried away by the police. Berkman was convicted of attempted murder and sentenced to 22 years in prison. Goldman suffered during his long absence. Convinced Goldman was involved in the plot, police raided her apartment. Although they found no evidence, they pressured her landlord into evicting her. Worse, the attentat had failed to rouse the masses: workers and anarchists alike condemned Berkman's action. Johann Most, their former mentor, lashed out at Berkman and the assassination attempt. Furious at these attacks, Goldman brought a toy horsewhip to a public lecture and demanded, onstage, that Most explain his betrayal. He dismissed her, whereupon she struck him with the whip, broke it on her knee, and hurled the pieces at him. She later regretted her assault, confiding to a friend: "At the age of twenty-three, one does not reason." "Inciting to riot" When the Panic of 1893 struck in the following year, the United States suffered one of its worst economic crises. By year's end, the unemployment rate was higher than 20%, and "hunger demonstrations" sometimes gave way to riots. Goldman began speaking to crowds of frustrated men and women in New York City. On August 21, she spoke to a crowd of nearly 3,000 people in Union Square, where she encouraged unemployed workers to take immediate action. Her exact words are unclear: undercover agents insist she ordered the crowd to "take everything ... by force". But Goldman later recounted this message: "Well then, demonstrate before the palaces of the rich; demand work. If they do not give you work, demand bread. If they deny you both, take bread." Later in court, Detective-Sergeant Charles Jacobs offered yet another version of her speech. A week later, Goldman was arrested in Philadelphia and returned to New York City for trial, charged with "inciting to riot". During the train ride, Jacobs offered to drop the charges against her if she would inform on other radicals in the area. She responded by throwing a glass of ice water in his face. As she awaited trial, Goldman was visited by Nellie Bly, a reporter for the New York World. She spent two hours talking to Goldman and wrote a positive article about the woman she described as a "modern Joan of Arc." Despite this positive publicity, the jury was persuaded by Jacobs' testimony and frightened by Goldman's politics. The assistant District Attorney questioned Goldman about her anarchism, as well as her atheism; the judge spoke of her as "a dangerous woman". She was sentenced to one year in the Blackwell's Island Penitentiary. Once inside she suffered an attack of rheumatism and was sent to the infirmary; there she befriended a visiting doctor and began studying medicine. She also read dozens of books, including works by the American activist-writers Ralph Waldo Emerson and Henry David Thoreau; novelist Nathaniel Hawthorne; poet Walt Whitman, and philosopher John Stuart Mill. When Goldman was released after ten months, a raucous crowd of nearly 3,000 people greeted her at the Thalia Theater in New York City. She soon became swamped with requests for interviews and lectures. To make money, Goldman decided to continue the medical studies she had started in prison but her preferred fields of specialization—midwifery and massage—were unavailable to nursing students in the US. She sailed to Europe, lecturing in London, Glasgow, and Edinburgh. She met with renowned anarchists such as Errico Malatesta, Louise Michel, and Peter Kropotkin. In Vienna, she received two diplomas for midwifery and put them immediately to use back in the US. Alternating between lectures and midwifery, Goldman conducted the first cross-country tour by an anarchist speaker. In November 1899 she returned to Europe to speak, where she met the Czech anarchist Hippolyte Havel in London. They went together to France and helped organize the 1900 International Anarchist Congress on the outskirts of Paris. Afterward Havel immigrated to the United States, traveling with Goldman to Chicago. They shared a residence there with friends of Goldman. McKinley assassination On September 6, 1901, Leon Czolgosz, an unemployed factory worker and registered Republican with a history of mental illness, shot US President William McKinley twice during a public speaking event in Buffalo, New York. McKinley was hit in the breastbone and stomach, and died eight days later. Czolgosz was arrested, and interrogated around the clock. During interrogation he claimed to be an anarchist and said he had been inspired to act after attending a speech by Goldman. The authorities used this as a pretext to charge Goldman with planning McKinley's assassination. They tracked her to the residence in Chicago she shared with Havel, as well as with Mary and Abe Isaak, an anarchist couple and their family. Goldman was arrested, along with Isaak, Havel, and ten other anarchists. Earlier, Czolgosz had tried but failed to become friends with Goldman and her companions. During a talk in Cleveland, Czolgosz had approached Goldman and asked her advice on which books he should read. In July 1901, he had appeared at the Isaak house, asking a series of unusual questions. They assumed he was an infiltrator, like a number of police agents sent to spy on radical groups. They had remained distant from him, and Abe Isaak sent a notice to associates warning of "another spy". Although Czolgosz repeatedly denied Goldman's involvement, the police held her in close custody, subjecting her to what she called the "third degree". She explained her housemates' distrust of Czolgosz, and the police finally recognized that she had not had any significant contact with the attacker. No evidence was found linking Goldman to the attack, and she was released after two weeks of detention. Before McKinley died, Goldman offered to provide nursing care, referring to him as "merely a human being". Czolgosz, despite considerable evidence of mental illness, was convicted of murder and executed. Throughout her detention and after her release, Goldman steadfastly refused to condemn Czolgosz's actions, standing virtually alone in doing so. Friends and supporters—including Berkman—urged her to quit his cause. But Goldman defended Czolgosz as a "supersensitive being" and chastised other anarchists for abandoning him. She was vilified in the press as the "high priestess of anarchy", while many newspapers declared the anarchist movement responsible for the murder. In the wake of these events, socialism gained support over anarchism among US radicals. McKinley's successor, Theodore Roosevelt, declared his intent to crack down "not only against anarchists, but against all active and passive sympathizers with anarchists". Mother Earth and Berkman's release After Czolgosz was executed, Goldman withdrew from the world and, from 1903 to 1913, lived at 208-210 East 13th Street, New York City. Scorned by her fellow anarchists, vilified by the press, and separated from her love, Berkman, she retreated into anonymity and nursing. "It was bitter and hard to face life anew," she wrote later. Using the name E. G. Smith, she left public life and took on a series of private nursing jobs while suffering from severe depression. The US Congress' passage of the Anarchist Exclusion Act (1903) stirred a new wave of oppositional activism, pulling Goldman back into the movement. A coalition of people and organizations across the left end of the political spectrum opposed the law on grounds that it violated freedom of speech, and she had the nation's ear once again. After an English anarchist named John Turner was arrested under the Anarchist Exclusion Act and threatened with deportation, Goldman joined forces with the Free Speech League to champion his cause. The league enlisted the aid of noted attorneys Clarence Darrow and Edgar Lee Masters, who took Turner's case to the US Supreme Court. Although Turner and the League lost, Goldman considered it a victory of propaganda. She had returned to anarchist activism, but it was taking its toll on her. "I never felt so weighed down," she wrote to Berkman. "I fear I am forever doomed to remain public property and to have my life worn out through the care for the lives of others." In 1906, Goldman decided to start a publication, "a place of expression for the young idealists in arts and letters". Mother Earth was staffed by a cadre of radical activists, including Hippolyte Havel, Max Baginski, and Leonard Abbott. In addition to publishing original works by its editors and anarchists around the world, Mother Earth reprinted selections from a variety of writers. These included the French philosopher Pierre-Joseph Proudhon, Russian anarchist Peter Kropotkin, German philosopher Friedrich Nietzsche, and British writer Mary Wollstonecraft. Goldman wrote frequently about anarchism, politics, labor issues, atheism, sexuality, and feminism, and was the first editor of the magazine. On May 18 of the same year, Alexander Berkman was released from prison. Carrying a bouquet of roses, Goldman met him on the train platform and found herself "seized by terror and pity" as she beheld his gaunt, pale form. Neither was able to speak; they returned to her home in silence. For weeks, he struggled to readjust to life on the outside: An abortive speaking tour ended in failure, and in Cleveland he purchased a revolver with the intent of killing himself. Upon returning to New York, he learned that Goldman had been arrested with a group of activists meeting to reflect on Czolgosz. Invigorated anew by this violation of freedom of assembly, he declared, "My resurrection has come!" and set about securing their release. Berkman took the helm of Mother Earth in 1907, while Goldman toured the country to raise funds to keep it operating. Editing the magazine was a revitalizing experience for Berkman. But his relationship with Goldman faltered, and he had an affair with a 15-year-old anarchist named Becky Edelsohn. Goldman was pained by his rejection of her, but considered it a consequence of his prison experience. Later that year she served as a delegate from the US to the International Anarchist Congress of Amsterdam. Anarchists and syndicalists from around the world gathered to sort out the tension between the two ideologies, but no decisive agreement was reached. Goldman returned to the US and continued speaking to large audiences. Reitman, essays, and birth control For the next ten years, Goldman traveled around the country nonstop, delivering lectures and agitating for anarchism. The coalitions formed in opposition to the Anarchist Exclusion Act had given her an appreciation for reaching out to those of other political positions. When the US Justice Department sent spies to observe, they reported the meetings as "packed". Writers, journalists, artists, judges, and workers from across the spectrum spoke of her "magnetic power", her "convincing presence", her "force, eloquence, and fire". In the spring of 1908, Goldman met and fell in love with Ben Reitman, the so-called "Hobo doctor". Having grown up in Chicago's Tenderloin District, Reitman spent several years as a drifter before earning a medical degree from the College of Physicians and Surgeons of Chicago. As a doctor, he treated people suffering from poverty and illness, particularly venereal diseases. He and Goldman began an affair. They shared a commitment to free love and Reitman took a variety of lovers, but Goldman did not. She tried to reconcile her feelings of jealousy with a belief in freedom of the heart, but found it difficult. Two years later, Goldman began feeling frustrated with lecture audiences. She yearned to "reach the few who really want to learn, rather than the many who come to be amused". She collected a series of speeches and items she had written for Mother Earth and published a book titled Anarchism and Other Essays. Covering a wide variety of topics, Goldman tried to represent "the mental and soul struggles of twenty-one years". When Margaret Sanger, an advocate of access to contraception, coined the term "birth control" and disseminated information about various methods in the June 1914 issue of her magazine The Woman Rebel, she received aggressive support from Goldman. The latter had already been active in efforts to increase birth control access for several years. In 1916, Goldman was arrested for giving lessons in public on how to use contraceptives. Sanger, too, was arrested under the Comstock Law, which prohibited the dissemination of "obscene, lewd, or lascivious articles", which authorities defined as including information relating to birth control. Although they later split from Sanger over charges of insufficient support, Goldman and Reitman distributed copies of Sanger's pamphlet Family Limitation (along with a similar essay of Reitman's). In 1915 Goldman conducted a nationwide speaking tour, in part to raise awareness about contraception options. Although the nation's attitude toward the topic seemed to be liberalizing, Goldman was arrested on February 11, 1916, as she was about to give another public lecture. Goldman was charged with violating the Comstock Law. Refusing to pay a $100 fine, she spent two weeks in a prison workhouse, which she saw as an "opportunity" to reconnect with those rejected by society. World War I Although President Woodrow Wilson was re-elected in 1916 under the slogan "He kept us out of the war", at the start of his second term, he announced that Germany's continued deployment of unrestricted submarine warfare was sufficient cause for the US to enter the Great War. Shortly afterward, Congress passed the Selective Service Act of 1917, which required all males aged 21–30 to register for military conscription. Goldman saw the decision as an exercise in militarist aggression, driven by capitalism. She declared in Mother Earth her intent to resist conscription, and to oppose US involvement in the war. To this end, she and Berkman organized the No Conscription League of New York, which proclaimed: "We oppose conscription because we are internationalists, antimilitarists, and opposed to all wars waged by capitalistic governments." The group became a vanguard for anti-draft activism, and chapters began to appear in other cities. When police began raiding the group's public events to find young men who had not registered for the draft, Goldman and others focused their efforts on distributing pamphlets and other writings. In the midst of the nation's patriotic fervor, many elements of the political left refused to support the League's efforts. The Women's Peace Party, for example, ceased its opposition to the war once the US entered it. The Socialist Party of America took an official stance against US involvement, but supported Wilson in most of his activities. On June 15, 1917, Goldman and Berkman were arrested during a raid of their offices, in which authorities seized "a wagon load of anarchist records and propaganda". The New York Times reported that Goldman asked to change into a more appropriate outfit, and emerged in a gown of "royal purple". The pair were charged with conspiracy to "induce persons not to register" under the newly enacted Espionage Act, and were held on US$25,000 bail each. Defending herself and Berkman during their trial, Goldman invoked the First Amendment, asking how the government could claim to fight for democracy abroad while suppressing free speech at home: We say that if America has entered the war to make the world safe for democracy, she must first make democracy safe in America. How else is the world to take America seriously, when democracy at home is daily being outraged, free speech suppressed, peaceable assemblies broken up by overbearing and brutal gangsters in uniform; when free press is curtailed and every independent opinion gagged? Verily, poor as we are in democracy, how can we give of it to the world? The jury found Goldman and Berkman guilty. Judge Julius Marshuetz Mayer imposed the maximum sentence: two years' imprisonment, a $10,000 fine each, and the possibility of deportation after their release from prison. As she was transported to Missouri State Penitentiary, Goldman wrote to a friend: "Two years imprisonment for having made an uncompromising stand for one's ideal. Why that is a small price." In prison, she was assigned to work as a seamstress, under the eye of a "miserable gutter-snipe of a 21-year-old boy paid to get results". She met the socialist Kate Richards O'Hare, who had also been imprisoned under the Espionage Act. Although they differed on political strategy— O'Hare believed in voting to achieve state power—the two women came together to agitate for better conditions among prisoners. Goldman also met and became friends with Gabriella Segata Antolini, an anarchist and follower of Luigi Galleani. Antolini had been arrested transporting a satchel filled with dynamite on a Chicago-bound train. She had refused to cooperate with authorities, and was sent to prison for 14 months. Working together to make life better for the other inmates, the three women became known as "The Trinity". Goldman was released on September 27, 1919. Deportation Goldman and Berkman were released from prison during the United States' Red Scare of 1919–20, when public anxiety about wartime pro-German activities had expanded into a pervasive fear of Bolshevism and the prospect of an imminent radical revolution. It was a time of social unrest due to union organizing strikes and actions by activist immigrants. Attorney General Alexander Mitchell Palmer and J. Edgar Hoover, head of the US Department of Justice's General Intelligence Division (now the FBI), were intent on using the Anarchist Exclusion Act and its 1918 expansion to deport any non-citizens they could identify as advocates of anarchy or revolution. "Emma Goldman and Alexander Berkman," Hoover wrote while they were in prison, "are, beyond doubt, two of the most dangerous anarchists in this country and return to the community will result in undue harm." At her deportation hearing on October 27, Goldman refused to answer questions about her beliefs, on the grounds that her American citizenship invalidated any attempt to deport her under the Anarchist Exclusion Act, which could be enforced only against non-citizens of the US. She presented a written statement instead: "Today so-called aliens are deported. Tomorrow native Americans will be banished. Already some patrioteers are suggesting that native American sons to whom democracy is a sacred ideal should be exiled." Louis Post at the Department of Labor, which had ultimate authority over deportation decisions, determined that the revocation of her husband Kershner's American citizenship in 1908 after his conviction had revoked hers as well. After initially promising a court fight, Goldman decided not to appeal his ruling. The Labor Department included Goldman and Berkman among 249 aliens it deported en masse, mostly people with only vague associations with radical groups, who had been swept up in government raids in November. Buford, a ship the press nicknamed the "Soviet Ark", sailed from the Army's New York Port of Embarkation on December 21. Some 58 enlisted men and four officers provided security on the journey, and pistols were distributed to the crew. Most of the press approved enthusiastically. The Cleveland Plain Dealer wrote: "It is hoped and expected that other vessels, larger, more commodious, carrying similar cargoes, will follow in her wake." The ship landed her charges in Hanko, Finland, on Saturday, January 17, 1920. Upon arrival in Finland, authorities there conducted the deportees to the Russian frontier under a flag of truce. Russia Goldman initially viewed the Bolshevik revolution in a positive light. She wrote in Mother Earth that despite its dependence on Communist government, it represented "the most fundamental, far-reaching and all-embracing principles of human freedom and of economic well-being". By the time she neared Europe, she expressed fears about what was to come. She was worried about the ongoing Russian Civil War and the possibility of being seized by anti-Bolshevik forces. The state, anti-capitalist though it was, also posed a threat. "I could never in my life work within the confines of the State," she wrote to her niece, "Bolshevist or otherwise." She quickly discovered that her fears were justified. Days after returning to Petrograd (Saint Petersburg), she was shocked to hear a party official refer to free speech as a "bourgeois superstition". As she and Berkman traveled around the country, they found repression, mismanagement, and corruption instead of the equality and worker empowerment they had dreamed of. Those who questioned the government were demonized as counter-revolutionaries, and workers labored under severe conditions. They met with Vladimir Lenin, who assured them that government suppression of press liberties was justified. He told them: "There can be no free speech in a revolutionary period." Berkman was more willing to forgive the government's actions in the name of "historical necessity", but he eventually joined Goldman in opposing the Soviet state's authority. In March 1921, strikes erupted in Petrograd when workers took to the streets demanding better food rations and more union autonomy. Goldman and Berkman felt a responsibility to support the strikers, stating: "To remain silent now is impossible, even criminal." The unrest spread to the port town of Kronstadt, where the government ordered a military response to suppress striking soldiers and sailors. In the Kronstadt rebellion, approximately 1,000 rebelling sailors and soldiers were killed and two thousand more were arrested; many were later executed. In the wake of these events, Goldman and Berkman decided there was no future in the country for them. "More and more", she wrote, "we have come to the conclusion that we can do nothing here. And as we can not keep up a life of inactivity much longer we have decided to leave." In December 1921, they left the country and went to the Latvian capital city of Riga. The US commissioner in that city wired officials in Washington DC, who began requesting information from other governments about the couple's activities. After a short trip to Stockholm, they moved to Berlin for several years; during this time Goldman agreed to write a series of articles about her time in Russia for Joseph Pulitzer's newspaper, the New York World. These were later collected and published in book form as My Disillusionment in Russia (1923) and My Further Disillusionment in Russia (1924). The publishers added these titles to attract attention; Goldman protested, albeit in vain. England, Canada, and France Goldman found it difficult to acclimate to the German leftist community in Berlin. Communists despised her outspokenness about Soviet repression; liberals derided her radicalism. While Berkman remained in Berlin helping Russian exiles, Goldman moved to London in September 1924. Upon her arrival, the novelist Rebecca West arranged a reception dinner for her, attended by philosopher Bertrand Russell, novelist H. G. Wells, and more than 200 other guests. When she spoke of her dissatisfaction with the Soviet government, the audience was shocked. Some left the gathering; others berated her for prematurely criticizing the Communist experiment. Later, in a letter, Russell declined to support her efforts at systemic change in the Soviet Union and ridiculed her anarchist idealism. In 1925, the spectre of deportation loomed again, but a Scottish anarchist named James Colton offered to marry her and provide British citizenship. Although they were only distant acquaintances, she accepted and they were married on June 27, 1925. Her new status gave her peace of mind, and allowed her to travel to France and Canada. Life in London was stressful for Goldman; she wrote to Berkman: "I am awfully tired and so lonely and heartsick. It is a dreadful feeling to come back here from lectures and find not a kindred soul, no one who cares whether one is dead or alive." She worked on analytical studies of drama, expanding on the work she had published in 1914. But the audiences were "awful," and she never finished her second book on the subject. Goldman traveled to Canada in 1927, just in time to receive news of the impending executions of Italian anarchists Nicola Sacco and Bartolomeo Vanzetti in Boston. Angered by the many irregularities of the case, she saw it as another travesty of justice in the US. She longed to join the mass demonstrations in Boston; memories of the Haymarket affair overwhelmed her, compounded by her isolation. "Then," she wrote, "I had my life before me to take up the cause for those killed. Now I have nothing." In 1928, she began writing her autobiography, with the support of a group of American admirers, including journalist H. L. Mencken, poet Edna St. Vincent Millay, novelist Theodore Dreiser and art collector Peggy Guggenheim, who raised $4,000 for her. She secured a cottage in the French coastal city of Saint-Tropez and spent two years recounting her life. Berkman offered sharply critical feedback, which she eventually incorporated at the price of a strain on their relationship. Goldman intended the book, Living My Life, as a single volume for a price the working class could afford (she urged no more than $5.00); her publisher Alfred A. Knopf released it as two volumes sold together for $7.50. Goldman was furious, but unable to force a change. Due in large part to the Great Depression, sales were sluggish despite keen interest from libraries around the US. Critical reviews were generally enthusiastic; The New York Times, The New Yorker, and Saturday Review of Literature all listed it as one of the year's top non-fiction books. In 1933, Goldman received permission to lecture in the United States under the condition that she speak only about drama and her autobiography—but not current political events. She returned to New York on February 2, 1934 to generally positive press coverage—except from Communist publications. Soon she was surrounded by admirers and friends, besieged with invitations to talks and interviews. Her visa expired in May, and she went to Toronto in order to file another request to visit the US. This second attempt was denied. She stayed in Canada, writing articles for US publications. In February and March 1936, Berkman underwent a pair of prostate gland operations. Recuperating in Nice and cared for by his companion, Emmy Eckstein, he missed Goldman's sixty-seventh birthday in Saint-Tropez in June. She wrote in sadness, but he never read the letter; she received a call in the middle of the night that Berkman was in great distress. She left for Nice immediately but when she arrived that morning, Goldman found that he had shot himself and was in a nearly comatose paralysis. He died later that evening. Spanish Civil War In July 1936, the Spanish Civil War started after an attempted coup d'état by parts of the Spanish Army against the government of the Second Spanish Republic. At the same time, the Spanish anarchists, fighting against the Nationalist forces, started an anarchist revolution. Goldman was invited to Barcelona and in an instant, as she wrote to her niece, "the crushing weight that was pressing down on my heart since Sasha's death left me as by magic". She was welcomed by the Confederación Nacional del Trabajo (CNT) and Federación Anarquista Ibérica (FAI) organizations, and for the first time in her life lived in a community run by and for anarchists, according to true anarchist principles. "In all my life", she wrote later, "I have not met with such warm hospitality, comradeship and solidarity." After touring a series of collectives in the province of Huesca, she told a group of workers: "Your revolution will destroy forever [the notion] that anarchism stands for chaos." She began editing the weekly CNT-FAI Information Bulletin and responded to English-language mail. Goldman began to worry about the future of Spain's anarchism when the CNT-FAI joined a coalition government in 1937—against the core anarchist principle of abstaining from state structures—and, more distressingly, made repeated concessions to Communist forces in the name of uniting against fascism. In November 1936, she wrote that cooperating with Communists in Spain was "a denial of our comrades in Stalin's concentration camps". The USSR, meanwhile, refused to send weapons to anarchist forces, and disinformation campaigns were being waged against the anarchists across Europe and the US. Her faith in the movement unshaken, Goldman returned to London as an official representative of the CNT-FAI. Delivering lectures and giving interviews, Goldman enthusiastically supported the Spanish anarcho-syndicalists. She wrote regularly for Spain and the World, a biweekly newspaper focusing on the civil war. In May 1937, Communist-led forces attacked anarchist strongholds and broke up agrarian collectives. Newspapers in England and elsewhere accepted the timeline of events offered by the Second Spanish Republic at face value. British journalist George Orwell, present for the crackdown, wrote: "[T]he accounts of the Barcelona riots in May ... beat everything I have ever seen for lying." Goldman returned to Spain in September, but the CNT-FAI appeared to her like people "in a burning house". Worse, anarchists and other radicals around the world refused to support their cause. The Nationalist forces declared victory in Spain just before she returned to London. Frustrated by England's repressive atmosphere—which she called "more fascist than the fascists"—she returned to Canada in 1939. Her service to the anarchist cause in Spain was not forgotten. On her seventieth birthday, the former Secretary-General of the CNT-FAI, Mariano Vázquez, sent a message to her from Paris, praising her for her contributions and naming her as "our spiritual mother". She called it "the most beautiful tribute I have ever received". Final years As the events preceding World War II began to unfold in Europe, Goldman reiterated her opposition to wars waged by governments. "[M]uch as I loathe Hitler, Mussolini, Stalin and Franco", she wrote to a friend, "I would not support a war against them and for the democracies which, in the last analysis, are only Fascist in disguise." She felt that Britain and France had missed their opportunity to oppose fascism, and that the coming war would only result in "a new form of madness in the world". Death On Saturday, February 17, 1940, Goldman suffered a debilitating stroke. She became paralyzed on her right side, and although her hearing was unaffected, she could not speak. As one friend described it: "Just to think that here was Emma, the greatest orator in America, unable to utter one word." For three months she improved slightly, receiving visitors and on one occasion gesturing to her address book to signal that a friend might find friendly contacts during a trip to Mexico. She suffered another stroke on May 8 and she died six days later in Toronto, aged 70. The US Immigration and Naturalization Service allowed her body to be brought back to the United States. She was buried in German Waldheim Cemetery (now named Forest Home Cemetery) in Forest Park, Illinois, a western suburb of Chicago, near the graves of those executed after the Haymarket affair. The bas relief on her grave marker was created by sculptor Jo Davidson, and the stone includes the quote "Liberty will not descend to a people, a people must raise themselves to liberty". Philosophy Goldman spoke and wrote extensively on a wide variety of issues. While she rejected orthodoxy and fundamentalist thinking, she was an important contributor to several fields of modern political philosophy. She was influenced by many diverse thinkers and writers, including Mikhail Bakunin, Henry David Thoreau, Peter Kropotkin, Ralph Waldo Emerson, Nikolai Chernyshevsky, and Mary Wollstonecraft. Another philosopher who influenced Goldman was Friedrich Nietzsche. In her autobiography, she wrote: "Nietzsche was not a social theorist, but a poet, a rebel, and innovator. His aristocracy was neither of birth nor of purse; it was the spirit. In that respect Nietzsche was an anarchist, and all true anarchists were aristocrats." Anarchism Anarchism was central to Goldman's view of the world and she is today considered one of the most important figures in the history of anarchism. First drawn to it during the persecution of anarchists after the 1886 Haymarket affair, she wrote and spoke regularly on behalf of anarchism. In the title essay of her book Anarchism and Other Essays, she wrote: Anarchism, then, really stands for the liberation of the human mind from the dominion of religion; the liberation of the human body from the dominion of property; liberation from the shackles and restraint of government. Anarchism stands for a social order based on the free grouping of individuals for the purpose of producing real social wealth; an order that will guarantee to every human being free access to the earth and full enjoyment of the necessities of life, according to individual desires, tastes, and inclinations. Goldman's anarchism was intensely personal. She believed it was necessary for anarchist thinkers to live their beliefs, demonstrating their convictions with every action and word. "I don't care if a man's theory for tomorrow is correct," she once wrote. "I care if his spirit of today is correct." Anarchism and free association were to her logical responses to the confines of government control and capitalism. "It seems to me that these are the new forms of life," she wrote, "and that they will take the place of the old, not by preaching or voting, but by living them." At the same time, she believed that the movement on behalf of human liberty must be staffed by liberated humans. While dancing among fellow anarchists one evening, she was chided by an associate for her carefree demeanor. In her autobiography, Goldman wrote: I told him to mind his own business, I was tired of having the Cause constantly thrown in my face. I did not believe that a Cause which stood for a beautiful ideal, for anarchism, for release and freedom from conventions and prejudice, should demand denial of life and joy. I insisted that our Cause could not expect me to behave as a nun and that the movement should not be turned into a cloister. If it meant that, I did not want it. "I want freedom, the right to self-expression, everybody's right to beautiful, radiant things." Tactical uses of violence Goldman, in her political youth, held targeted violence to be a legitimate means of revolutionary struggle. Goldman at the time believed that the use of violence, while distasteful, could be justified in relation to the social benefits it might accrue. She advocated propaganda of the deed—attentat, or violence carried out to encourage the masses to revolt. She supported her partner Alexander Berkman's attempt to kill industrialist Henry Clay Frick, and even begged him to allow her to participate. She believed that Frick's actions during the Homestead strike were reprehensible and that his murder would produce a positive result for working people. "Yes," she wrote later in her autobiography, "the end in this case justified the means." While she never gave explicit approval of Leon Czolgosz's assassination of US President William McKinley, she defended his ideals and believed actions like his were a natural consequence of repressive institutions. As she wrote in "The Psychology of Political Violence": "the accumulated forces in our social and economic life, culminating in an act of violence, are similar to the terrors of the atmosphere, manifested in storm and lightning." Her experiences in Russia led her to qualify her earlier belief that revolutionary ends might justify violent means. In the afterword to My Disillusionment in Russia, she wrote: "There is no greater fallacy than the belief that aims and purposes are one thing, while methods and tactics are another.... The means employed become, through individual habit and social practice, part and parcel of the final purpose...." In the same chapter, Goldman affirmed that "Revolution is indeed a violent process," and noted that violence was the "tragic inevitability of revolutionary upheavals..." Some misinterpreted her comments on the Bolshevik terror as a rejection of all militant force, but Goldman corrected this in the preface to the first US edition of My Disillusionment in Russia: The argument that destruction and terror are part of revolution I do not dispute. I know that in the past every great political and social change necessitated violence. [...] Black slavery might still be a legalized institution in the United States but for the militant spirit of the John Browns. I have never denied that violence is inevitable, nor do I gainsay it now. Yet it is one thing to employ violence in combat, as a means of defense. It is quite another thing to make a principle of terrorism, to institutionalize it, to assign it the most vital place in the social struggle. Such terrorism begets counter-revolution and in turn itself becomes counter-revolutionary. Goldman saw the militarization of Soviet society not as a result of armed resistance per se, but of the statist vision of the Bolsheviks, writing that "an insignificant minority bent on creating an absolute State is necessarily driven to oppression and terrorism." Capitalism and labor Goldman believed that the economic system of capitalism was incompatible with human liberty. "The only demand that property recognizes," she wrote in Anarchism and Other Essays, "is its own gluttonous appetite for greater wealth, because wealth means power; the power to subdue, to crush, to exploit, the power to enslave, to outrage, to degrade." She also argued that capitalism dehumanized workers, "turning the producer into a mere particle of a machine, with less will and decision than his master of steel and iron." Originally opposed to anything less than complete revolution, Goldman was challenged during one talk by an elderly worker in the front row. In her autobiography, she wrote: He said that he understood my impatience with such small demands as a few hours less a day, or a few dollars more a week.... But what were men of his age to do? They were not likely to live to see the ultimate overthrow of the capitalist system. Were they also to forgo the release of perhaps two hours a day from the hated work? That was all they could hope to see realized in their lifetime. State Goldman viewed the state as essentially and inevitably a tool of control and domination. and as a result of her anti-state views, Goldman believed that voting was useless at best and dangerous at worst. Voting, she wrote, provided an illusion of participation while masking the true structures of decision-making. Instead, Goldman advocated targeted resistance in the form of strikes, protests, and "direct action against the invasive, meddlesome authority of our moral code". She maintained an anti-voting position even when many anarcho-syndicalists in 1930s Spain voted for the formation of a liberal republic. Goldman wrote that any power anarchists wielded as a voting bloc should instead be used to strike across the country. She disagreed with the movement for women's suffrage, which demanded the right of women to vote. In her essay "Woman Suffrage", she ridicules the idea that women's involvement would infuse the democratic state with a more just orientation: "As if women have not sold their votes, as if women politicians cannot be bought!" She agreed with the suffragists' assertion that women are equal to men but disagreed that their participation alone would make the state more just. "To assume, therefore, that she would succeed in purifying something which is not susceptible of purification, is to credit her with supernatural powers." Goldman was also critical of Zionism, which she saw as another failed experiment in state control. Goldman was also a passionate critic of the prison system, critiquing both the treatment of prisoners and the social causes of crime. Goldman viewed crime as a natural outgrowth of an unjust economic system, and in her essay "Prisons: A Social Crime and Failure", she quoted liberally from the 19th-century authors Fyodor Dostoevsky and Oscar Wilde on prisons, and wrote: Year after year the gates of prison hells return to the world an emaciated, deformed, will-less, shipwrecked crew of humanity, with the Cain mark on their foreheads, their hopes crushed, all their natural inclinations thwarted. With nothing but hunger and inhumanity to greet them, these victims soon sink back into crime as the only possibility of existence. Goldman was a committed war resister and was particularly opposed to the draft, viewing it as one of the worst of the state's forms of coercion, and was one of the founders of the No-Conscription League for which she was ultimately arrested and imprisoned in 1917 before being deported in 1919. Goldman was routinely surveilled, arrested, and imprisoned for her speech and organizing activities in support of workers and various strikes, access to birth control, and in opposition to World War I. As a result, she became active in the early 20th century free speech movement, seeing freedom of expression as a fundamental necessity for achieving social change. Her outspoken championship of her ideals, in the face of persistent arrests, inspired Roger Baldwin, one of the founders of the American Civil Liberties Union. Goldman's and Reitman's experiences in the San Diego free speech fight in 1912 is an example of their persistence in the fight for free speech despite risking their safety. Feminism and sexuality Although she was hostile to the suffragist goals of first-wave feminism, Goldman advocated passionately for the rights of women, and is today heralded as a founder of anarcha-feminism, which challenges patriarchy as a hierarchy to be resisted alongside state power and class divisions. In 1897, she wrote: "I demand the independence of woman, her right to support herself; to live for herself; to love whomever she pleases, or as many as she pleases. I demand freedom for both sexes, freedom of action, freedom in love and freedom in motherhood." A nurse by training, Goldman was an early advocate for educating women concerning contraception. Like many feminists of her time, she saw abortion as a tragic consequence of social conditions, and birth control as a positive alternative. Goldman was also an advocate of free love, and a strong critic of marriage. She saw early feminists as confined in their scope and bounded by social forces of Puritanism and capitalism. She wrote: "We are in need of unhampered growth out of old traditions and habits. The movement for women's emancipation has so far made but the first step in that direction." Goldman was also an outspoken critic of prejudice against homosexuals. Her belief that social liberation should extend to gay men and lesbians was virtually unheard of at the time, even among anarchists. As German sexologist Magnus Hirschfeld wrote, "she was the first and only woman, indeed the first and only American, to take up the defense of homosexual love before the general public." In numerous speeches and letters, she defended the right of gay men and lesbians to love as they pleased and condemned the fear and stigma associated with homosexuality. As Goldman wrote in a letter to Hirschfeld, "It is a tragedy, I feel, that people of a different sexual type are caught in a world which shows so little understanding for homosexuals and is so crassly indifferent to the various gradations and variations of gender and their great significance in life." Atheism A committed atheist, Goldman viewed religion as another instrument of control and domination. Her essay "The Philosophy of Atheism" quoted Bakunin at length on the subject and added: Consciously or unconsciously, most theists see in gods and devils, heaven and hell, reward and punishment, a whip to lash the people into obedience, meekness and contentment.... The philosophy of Atheism expresses the expansion and growth of the human mind. The philosophy of theism, if we can call it a philosophy, is static and fixed. In essays like "The Hypocrisy of Puritanism" and a speech entitled "The Failure of Christianity", Goldman made more than a few enemies among religious communities by attacking their moralistic attitudes and efforts to control human behavior. She blamed Christianity for "the perpetuation of a slave society", arguing that it dictated individuals' actions on Earth and offered poor people a false promise of a plentiful future in heaven. Legacy Goldman was well known during her life, described as—among other things—"the most dangerous woman in America". After her death and through the middle part of the 20th century, her fame faded. Scholars and historians of anarchism viewed her as a great speaker and activist, but did not regard her as a philosophical or theoretical thinker on par with, for example, Kropotkin. In 1970, Dover Press reissued Goldman's biography, Living My Life, and in 1972, feminist writer Alix Kates Shulman issued a collection of Goldman's writing and speeches, Red Emma Speaks. These works brought Goldman's life and writings to a larger audience, and she was in particular lionized by the women's movement of the late 20th century. In 1973, Shulman was asked by a printer friend for a quotation by Goldman for use on a T-shirt. She sent him the selection from Living My Life about "the right to self-expression, everybody's right to beautiful, radiant things", recounting that she had been admonished "that it did not behoove an agitator to dance". The printer created a statement based on these sentiments that has become one of Goldman's most famous quotations, even though she probably never said or wrote it as such: "If I can't dance I don't want to be in your revolution." Variations of this saying have appeared on thousands of T-shirts, buttons, posters, bumper stickers, coffee mugs, hats, and other items. The women's movement of the 1970s that "rediscovered" Goldman was accompanied by a resurgent anarchist movement, beginning in the late 1960s, which also reinvigorated scholarly attention to earlier anarchists. The growth of feminism also initiated some reevaluation of Goldman's philosophical work, with scholars pointing out the significance of Goldman's contributions to anarchist thought in her time. Goldman's belief in the value of aesthetics, for example, can be seen in the later influences of anarchism and the arts. Similarly, Goldman is now given credit for significantly influencing and broadening the scope of activism on issues of sexual liberty, reproductive rights, and freedom of expression. Goldman has been depicted in numerous works of fiction over the years, including Warren Beatty's 1981 film Reds, in which she was portrayed by Maureen Stapleton, who won an Academy Award for her performance. Goldman has also been a character in two Broadway musicals, Ragtime and Assassins. Plays depicting Goldman's life include Howard Zinn's play, Emma; Martin Duberman's Mother Earth; Jessica Litwak's Emma Goldman: Love, Anarchy, and Other Affairs (about Goldman's relationship with Berkman and her arrest in connection with McKinley's assassination); Lynn Rogoff's Love Ben, Love Emma (about Goldman's relationship with Reitman); Carol Bolt's Red Emma; and Alexis Roblan's Red Emma and the Mad Monk. Ethel Mannin's 1941 novel Red Rose is also based on Goldman's Life. Goldman has been honored by a number of organizations named in her memory. The Emma Goldman Clinic, a women's health center located in Iowa City, Iowa, selected Goldman as a namesake "in recognition of her challenging spirit." Red Emma's Bookstore Coffeehouse, an infoshop in Baltimore, Maryland adopted her name out of their belief "in the ideas and ideals that she fought for her entire life: free speech, sexual and racial equality and independence, the right to organize in our jobs and in our own lives, ideas and ideals that we continue to fight for, even today". Works Goldman was a prolific writer, penning countless pamphlets and articles on a diverse range of subjects. She authored six books, including an autobiography, Living My Life, and a biography of fellow anarchist Voltairine de Cleyre. Books Anarchism and Other Essays. New York: Mother Earth Publishing Association, 1910. The Social Significance of the Modern Drama. Boston: Gorham Press, 1914. My Disillusionment in Russia. Garden City, New York: Doubleday, Page and Co., 1923. My Further Disillusionment in Russia. Garden City, New York: Doubleday, Page and Co., 1924. Living My Life. New York: Knopf, 1931. Voltairine de Cleyre. Berkeley Heights, New Jersey: Oriole Press, 1932. Edited collections Red Emma Speaks: Selected Writings and Speeches. New York: Random House, 1972. . Emma Goldman: A Documentary History of the American Years, Volume 1 – Made for America, 1890–1901. Berkeley: University of California Press, 2003. . Emma Goldman: A Documentary History of the American Years, Volume 2 – Making Speech Free, 1902–1909. Berkeley: University of California Press, 2004. . Emma Goldman: A Documentary History of the American Years, Volume 3 – Light and Shadows, 1910–1916. Stanford: Stanford University Press, 2012. . See also Emma Goldman: The Anarchist Guest Emma or Emma: A Play in Two Acts about Emma Goldman, American Anarchist, a play by Howard Zinn History of the birth control movement in the United States John R. Coryell List of peace activists List of women's rights activists References Sources Avrich, Paul. The Haymarket Tragedy. Princeton: Princeton University Press, 1984. . Berkman, Alexander. Life of an Anarchist: The Alexander Berkman Reader. New York: Four Walls Eight Windows Press, 1992. . Chalberg, John. Emma Goldman: American Individualist. New York: HarperCollins Publishers Inc., 1991. . Drinnon, Richard. Rebel in Paradise: A Biography of Emma Goldman. Chicago: University of Chicago Press, 1961. . Falk, Candace, et al. Emma Goldman: A Documentary History of the American Years, Volume 1 – Made for America, 1890–1901. Berkeley: University of California Press, 2003. . Falk, Candace, et al. Emma Goldman: A Documentary History of the American Years, Volume 2 – Making Speech Free, 1902–1909. Berkeley: University of California Press, 2004. . Falk, Candace Serena. Love, Anarchy, and Emma Goldman. New Brunswick: Rutgers University Press, 1990. . Goldman, Emma. Anarchism and Other Essays. 3rd ed. 1917. New York: Dover Publications Inc., 1969. . Goldman, Emma. Living My Life. 1931. New York: Dover Publications Inc., 1970. . Goldman, Emma. My Disillusionment in Russia. 1923. New York: Thomas Y. Crowell Company, 1970. . Goldman, Emma. The Traffic in Women, and Other Essays on Feminism. Albion, CA: Times Change Press, 1970. . Haaland, Bonnie. Emma Goldman: Sexuality and the Impurity of the State. Montréal, New York, London: Black Rose Books, 1993. . Marshall, Peter. Demanding the Impossible: A History of Anarchism. London: HarperCollins, 1992. . McCormick, Charles H. Seeing Reds: Federal Surveillance of Radicals in the Pittsburgh Mill District, 1917–1921. Pittsburgh: University of Pittsburgh Press, 1997. Moritz, Theresa. The World's Most Dangerous Woman: A New Biography of Emma Goldman. Vancouver: Subway Books, 2001. . Murray, Robert K. Red Scare: A Study in National Hysteria, 1919–1920. Minneapolis: University of Minnesota Press, 1955. . Post, Louis F. The Deportations Delirium of Nineteen-twenty: A Personal Narrative of an Historic Official Experience. NY, 1923. Pribanic-Smith, Erika J; Schroeder, Jared. (2019). Emma Goldman's No-Conscription League and the First Amendment. Jared Schroeder. New York. . Wexler, Alice. Emma Goldman: An Intimate Life. New York: Pantheon Books, 1984. . Republished as Emma Goldman in America. Boston: Beacon Press, 1984. . Wexler, Alice. Emma Goldman in Exile: From the Russian Revolution to the Spanish Civil War. Boston: Beacon Press, 1989. . Further reading External links Digital collections PBS American Experience: Emma Goldman Works by Emma Goldman at the Anarchist Library Works of Emma Goldman, online Physical collections Emma Goldman "Women of Valor" exhibit at the Jewish Women's Archive Emma Goldman Papers Project at University of California, Berkeley Emma Goldman Papers at the International Institute of Social History Emma Goldman Papers. Schlesinger Library , Radcliffe Institute, Harvard University Emma Goldman Papers, 1909–1941. Rubenstein Library, Duke University Emma Goldman papers at the Sophia Smith Collection, Smith College Special Collections 1869 births 1940 deaths 19th-century American philosophers 19th-century American women writers 19th-century American writers 19th-century atheists 20th-century American philosophers 20th-century atheists 20th-century American women writers 20th-century Lithuanian women writers American anarchists American anti-capitalists American anti-fascists American anti–World War I activists American autobiographers American essayists American expatriates in Canada American expatriates in France American expatriates in the United Kingdom American feminist writers American people of the Spanish Civil War American political writers American women activists American women essayists American women philosophers American women's rights activists Anarcha-feminists Anarcho-communists Anarchist theorists Anarchist writers Atheist feminists Atheist philosophers American atheist writers Birth control activists Burials at Forest Home Cemetery, Chicago Critics of religions Deaths in Canada Former Orthodox Jews Free love advocates Free speech activists Emigrants from the Russian Empire to the United States Jewish American writers Jewish anarchists Jewish anti-fascists Jewish American atheists Jewish feminists Jewish philosophers Jewish women writers LGBT rights activists from Lithuania LGBT rights activists from Russia LGBT rights activists from the United States Libertarian socialists Lithuanian anarchists Lithuanian anti-capitalists Non-interventionism People convicted under the Espionage Act of 1917 People deported from the United States People from Kovno Governorate People from Papilė People from Saint Petersburg People from Woodstock, Illinois Philosophy writers Politicians from Königsberg Progressive Era in the United States Russian anarchists Russian anti-capitalists Russian people of the Spanish Civil War Russian revolutionaries Russian socialist feminists Soviet emigrants to Canada Soviet emigrants to France Soviet emigrants to the United Kingdom Women autobiographers Women in the Spanish Civil War Writers from Kaunas Writers from New York City American socialist feminists Lithuanian socialist feminists Canadian anarchists Critics of work and the work ethic
9781
https://en.wikipedia.org/wiki/Extended%20Industry%20Standard%20Architecture
Extended Industry Standard Architecture
The Extended Industry Standard Architecture (in practice almost always shortened to EISA and frequently pronounced "eee-suh") is a bus standard for IBM PC compatible computers. It was announced in September 1988 by a consortium of PC clone vendors (the Gang of Nine) as an alternative to IBM's proprietary Micro Channel architecture (MCA) in its PS/2 series. In comparison with the AT bus, which the Gang of Nine retroactively renamed to the ISA bus to avoid infringing IBM's trademark on its PC/AT computer, EISA is extended to 32 bits and allows more than one CPU to share the bus. The bus mastering support is also enhanced to provide access to 4 GB of memory. Unlike MCA, EISA can accept older XT and ISA boards — the lines and slots for EISA are a superset of ISA. EISA was much favoured by manufacturers due to the proprietary nature of MCA, and even IBM produced some machines supporting it. It was somewhat expensive to implement (though not as much as MCA), so it never became particularly popular in desktop PCs. However, it was reasonably successful in the server market, as it was better suited to bandwidth-intensive tasks (such as disk access and networking). Most EISA cards produced were either SCSI or network cards. EISA was also available on some non-IBM-compatible machines such as the AlphaServer, HP 9000-D, SGI Indigo2 and MIPS Magnum. By the time there was a strong market need for a bus of these speeds and capabilities for desktop computers, the VESA Local Bus and later PCI filled this niche, and EISA vanished into obscurity. History The original IBM PC included five 8-bit slots, running at the system clock speed of 4.77 MHz. The PC/AT, introduced in 1984, had three 8-bit slots and five 16-bit slots, all running at the system clock speed of 6 MHz in the earlier models and 8 MHz in the last version of the computer. The 16-bit slots were a superset of the 8-bit configuration, so most 8-bit cards were able to plug into a 16-bit slot (some cards used a "skirt" design that physically interfered with the extended portion of the slot) and continue to run in 8-bit mode. One of the key reasons for the success of the IBM PC (and the PC clones that followed it) was the active ecosystem of third-party expansion cards available for the machines. IBM was restricted from patenting the bus and widely published the bus specifications. As the PC-clone industry continued to build momentum in the mid- to late-1980s, several problems with the bus began to be apparent. First, because the "AT slot" (as it was known at the time) was not managed by any central standards group, there was nothing to prevent a manufacturer from "pushing" the standard. One of the most common issues was that as PC clones became more common, PC manufacturers began increasing the processor speed to maintain a competitive advantage. Unfortunately, because the ISA bus was originally locked to the processor clock, this meant that some 286 machines had ISA buses that ran at 10, 12, or even 16 MHz. In fact, the first system to clock the ISA bus at 8 MHz was the turbo 8088 clones that clocked the processors at 8 MHz. This caused many issues with incompatibility, where a true IBM-compatible third-party card (designed for an 8 MHz or 4.77 MHz bus) might not work in a higher-speed system (or even worse, would work unreliably). Most PC makers eventually decoupled the slot clock from the system clock, but there was still no standards body to "police" the industry. As companies like Dell modified the AT bus design, the architecture was so well entrenched that no single clone manufacturer had the leverage to create a standardized alternative, and there was no compelling reason for them to cooperate on a new standard. Because of this, when the first 386-based system (the Compaq Deskpro 386) hit the market in 1986, it still supported 16-bit slots. Other 386 PCs followed suit, and the AT (later ISA) bus remained a part of most systems even into the late 1990s. Meanwhile, IBM began to worry that it was losing control of the industry it had created. In 1987, IBM released the PS/2 line of computers, which included the MCA bus. MCA included numerous enhancements over the 16-bit AT bus, including bus mastering, burst mode, software-configurable resources, and 32-bit capabilities. However, in an effort to reassert its dominant role, IBM patented the bus and placed stringent licensing and royalty policies on its use. A few manufacturers did produce licensed MCA machines (most notably, NCR), but overall the industry balked at IBM's restrictions. Steve Gibson proposed that clone makers adopt NuBus. Instead, a group (the "Gang of Nine"), led by Compaq, created a new bus, which was named the Extended (or Enhanced) Industry Standard Architecture, or "EISA" (and the 16-bit bus became known as Industry Standard Architecture, or "ISA"). This provided virtually all of the technical advantages of MCA, while remaining compatible with existing 8-bit and 16-bit cards, and (most enticing to system and card makers) minimal licensing cost. The EISA bus slot is a two-level staggered pin system, with the upper part of the slot corresponding to the standard ISA bus pin layout. The additional features of the EISA bus are implemented on the lower part of the slot connector, using thin traces inserted into the insulating gap of the upper / ISA card card edge connector. Additionally, the lower part of the bus has five keying notches, so an ISA card with unusually long traces cannot accidentally extend down into the lower part of the slot. Intel introduced their first EISA chipset (and also their first chipset in the modern sense of the word) as the 82350 in September 1989. Intel introduced a lower-cost variant as the 82350DT, announced in April 1991; it began shipping in June of that year. The first EISA computer announced was the HP Vectra 486 in October 1989. The first EISA computers to hit the market were the Compaq Deskpro 486 and the SystemPro. The SystemPro, being one of the first PC-style systems designed as a network server, was built from the ground up to take full advantage of the EISA bus. It included such features as multiprocessing, hardware RAID, and bus-mastering network cards. One of the benefits to come out of the EISA standard was a final codification of the standard to which ISA slots and cards should be held (in particular, clock speed was fixed at an industry standard of 8.33 MHz). Thus, even systems that didn't use the EISA bus gained the advantage of having the ISA standardized, which contributed to its longevity. The "Gang of Nine" The Gang of Nine was the informal name given to the consortium of personal computer manufacturing companies that together created the EISA bus. Rival members generally acknowledged Compaq's leadership, with one stating in 1989 that within the Gang of Nine "when you have 10 people sit down before a table to write a letter to the president, someone has to write the letter. Compaq is sitting down at the typewriter". The members were: AST Research, Inc. Compaq Computer Corporation Seiko Epson Corporation Hewlett-Packard Company NEC Corporation Olivetti Tandy Corporation WYSE Zenith Data Systems Technical data Although the MCA bus had a slight performance advantage over EISA (bus speed of 10 MHz, compared to 8.33 MHz), EISA contained almost all of the technological benefits that MCA boasted, including bus mastering, burst mode, software-configurable resources, and 32-bit data/address buses. These brought EISA nearly to par with MCA from a performance standpoint, and EISA easily defeated MCA in industry support. EISA replaced the tedious jumper configuration common with ISA cards with software-based configuration. Every EISA system shipped with an EISA configuration utility; this was usually a slightly customized version of the standard utilities written by the EISA chipset makers. The user would boot into this utility, either from floppy disk or on a dedicated hard-drive partition. The utility software would detect all EISA cards in the system and could configure any hardware resources (interrupts, memory ports, etc.) on any EISA card (each EISA card would include a disk with information that described the available options on the card) or on the EISA system motherboard. The user could also enter information about ISA cards in the system, allowing the utility to automatically reconfigure EISA cards to avoid resource conflicts. Similarly, Windows 95, with its Plug-and-Play capability, was not able to change the configuration of EISA cards, but it could detect the cards, read their configuration, and reconfigure Plug-and-Play hardware to avoid resource conflicts. Windows 95 would also automatically attempt to install appropriate drivers for detected EISA cards. Industry acceptance EISA's success was far from guaranteed. Many manufacturers, including those in the "Gang of Nine", researched the possibility of using MCA. For example, Compaq actually produced prototype DeskPro systems using the bus. However, these were never put into production, and when it was clear that MCA had lost, Compaq allowed its MCA license to expire (the license actually cost relatively little; the primary costs associated with MCA, and at which the industry revolted, were royalties to be paid per system shipped). On the other hand, when it became clear to IBM that Micro Channel was dying, IBM licensed EISA for use in a few server systems. See also Industry Standard Architecture (ISA) Micro Channel architecture (MCA) NuBus VESA Local Bus (VLB) Peripheral Component Interconnect (PCI) Accelerated Graphics Port (AGP) PCI-X PCI Express (PCIe) List of device bandwidths Amiga Zorro II PC/104 CompactPCI MiniPCI PC card Low Pin Count (LPC) Universal Serial Bus References External links The Intel EISA chipset explained EISA bus technical summary Intel EISA Controllers Intel 82350 EISA chip family Computer buses IBM PC compatibles Motherboard expansion slot
9814
https://en.wikipedia.org/wiki/E.%20E.%20Smith
E. E. Smith
Edward Elmer Smith (May 2, 1890 – August 31, 1965), publishing as E. E. Smith, Ph.D. and later as E. E. "Doc" Smith, was an American food engineer (specializing in doughnut and pastry mixes) and science-fiction author, best known for the Lensman and Skylark series. He is sometimes called the father of space opera. Biography Family and education Edward Elmer Smith was born in Sheboygan, Wisconsin, on May 2, 1890, to Fred Jay Smith and Caroline Mills Smith, both staunch Presbyterians of British ancestry. His mother was a teacher born in Michigan in February 1855; his father was a sailor, born in Maine in January 1855 to an English father. They moved to Spokane, Washington, the winter after Edward Elmer was born, where Mr. Smith was working as a contractor in 1900. In 1902, the family moved to Seneaquoteen, near the Pend Oreille River, in Kootenai County, Idaho. He had four siblings, Rachel M. born September 1882, Daniel M. born January 1884, Mary Elizabeth born February 1886 (all of whom were born in Michigan), and Walter E. born July 1891 in Washington. In 1910, Fred and Caroline Smith and their son Walter were living in the Markham Precinct of Bonner County, Idaho; Fred is listed in census records as a farmer. Smith worked mainly as a manual laborer until he injured his wrist while fleeing from a fire at the age of 19. He attended the University of Idaho. (Many years later he would be installed in the 1984 Class of the University of Idaho Alumni Hall of Fame.) He entered its prep school in 1907, and graduated with two degrees in chemical engineering in 1914. He was president of the Chemistry Club, the Chess Club, and the Mandolin and Guitar Club, and captain of the Drill and Rifle Team; he also sang the bass lead in Gilbert and Sullivan operettas. His undergraduate thesis was Some Clays of Idaho, co-written with classmate Chester Fowler Smith, who died in California of tuberculosis the following year, after taking a teaching fellowship at Berkeley. Whether the two were related is not known. On October 5, 1915, in Boise, Idaho he married Jeanne Craig MacDougall, the sister of his college roommate, Allen Scott (Scotty) MacDougall. (Her sister was named Clarissa MacLean MacDougall; the heroine of the Lensman novels would later be named Clarissa MacDougall.) Jeanne MacDougall was born in Glasgow, Scotland; her parents were Donald Scott MacDougall, a violinist, and Jessica Craig MacLean. Her father had moved to Boise when the children were young, and later sent for his family; he died while they were en route in 1905. Jeanne's mother, who remarried businessman and retired politician John F. Kessler in 1914<ref>Hawley, James F. A History of Idaho: Gem of the Mountains", page 868. S. J. Clarke Publishing Company, 1920. Full text available at Google Books, https://books.google.com/books?id=-t8UAAAAYAAJ&ie=ISO-8859-1&output=html</ref> worked at, and later owned, a boarding house on Ridenbaugh Street. The Smiths had three children: Roderick N., born June 3, 1918, in the District of Columbia, was employed as a design engineer at Lockheed Aircraft. Verna Jean (later Verna Smith Trestrail), born August 25, 1920, in Michigan, was his literary executor until her death in 1994. (Her son Kim Trestrail is now the executor.) Robert A. Heinlein in part dedicated his 1982 novel Friday to Verna. Clarissa M. (later Clarissa Wilcox), was born December 13, 1921, in Michigan. Early chemical career and the beginning of Skylark After college, Smith was a junior chemist for the National Bureau of Standards in Washington, D.C., developing standards for butter and for oysters, while studying food chemistry at George Washington University. During World War I, he "wanted to fly a Jenny, but chemists were too scarce. (Or were Jennies too valuable?)" He ended up being sent to the Commission for Relief in Belgium headed by Herbert Hoover. His draft card, partly illegible, seems to show that Smith requested exemption from military service, based on his wife's dependence and on his contribution to the war effort as a civilian chemist. One evening in 1915, the Smiths were visiting a former classmate from the University of Idaho, Dr. Carl Garby (1890-1928)who had also moved to Washington, D.C. He lived nearby in the Seaton Place Apartments with his wife, Lee Hawkins Garby. A long discussion about journeys into outer space ensued, and it was suggested that Smith should write down his ideas and speculations as a story about interstellar travel. Although he was interested, Smith believed after some thought that some romantic elements would be required and he was uncomfortable with that. Mrs. Garby offered to take care of the love interest and the romantic dialogue, and Smith decided to give it a try. The sources of inspirations for the main characters in the novel were themselves; the "Seatons" and "Cranes" were based on the Smiths and Garbys, respectively. About one third of The Skylark of Space was completed by the end of 1916, when Smith and Garby gradually abandoned work on it. Smith earned his master's degree in chemistry from the George Washington University in 1917, studying under Dr. Charles E. Munroe., who Smith called "probably the greatest high-explosives man yet to live." Smith completed his PhD in chemical engineering in 1918, with a food engineering focus; his dissertation, The effect of bleaching with oxides of nitrogen upon the baking quality and commercial value of wheat flour, was published in 1919. (Warner and Fleischer give the title The Effect of the Oxides of Nitrogen upon the Carotin Molecule – C40H56, which is difficult to explain. Sam Moskowitz gives the degree date 1919, perhaps reflecting different dates for thesis submission, thesis defense, and degree certification.) Writing Skylark In 1919, Smith was hired as chief chemist for F. W. Stock & Sons of Hillsdale, Michigan, at one time the largest family-owned mill east of the Mississippi, working on doughnut mixes. One evening late in 1919, after moving to Michigan, Smith was baby-sitting (presumably for Roderick) while his wife attended a movie; he resumed work on The Skylark of Space, finishing it in the spring of 1920."Doughnut Specialist Smith" says "It wasn't until 1919 that work really began ... Five years passed before acceptance by the first science-fiction magazine on the American market, and two more years elapsed before it was published." This is not consistent with other sources. He submitted it to many book publishers and magazines, spending more in postage than he would eventually receive for its publication. Bob Davis, editor of Argosy, sent an encouraging rejection letter in 1922, saying that he liked the novel personally, but that it was too far out for his readers. (According to Warner, but no other source, Smith began work on the sequel, Skylark Three, before the first book was accepted.) Finally, upon seeing the April 1927 issue of Amazing Stories, he submitted it to that magazine; it was accepted, initially for $75, later raised to $125. It was published as a three-part serial in the August to October 1928 issues and it was such a success that associate editor Sloane requested a sequel before the second installment had been published. Mrs. Garby, whose husband died in 1928, was not interested in further collaboration, so Smith began work on Skylark Three alone. It was published as another three-part serial, in the August to October 1930 issues of Amazing, introduced as the cover story for August. (In 1930, the Smiths were living in Michigan, at 33 Rippon Avenue in Hillsdale.) This was as far as he had planned to take the Skylark series; it was praised in Amazings letter column, and he was paid ¾¢ per word, surpassing Amazings previous record of half a cent. The early 1930s: between Skylark and Lensman Smith then began work on what he intended as a new series, starting with Spacehounds of IPC, which he finished in the autumn of 1930. In this novel, he took pains to avoid the scientific impossibilities which had bothered some readers of the Skylark novels. Even in 1938, after he had written Galactic Patrol, Smith considered it his finest work; he later said of it, "This was really scientific fiction; not, like the Skylarks, pseudo-science"; and even at the end of his career, he considered it his only work of true science fiction. It was published in the July through September 1931 issues of Amazing, with Sloane making unauthorized changes. Fan letters in the magazine complained about the novel's containment within the solar system, and Sloane sided with the readers. So when Harry Bates, editor of Astounding Stories, offered Smith 2¢/word—payable on publication—for his next story, he agreed; this meant that it could not be a sequel to Spacehounds.This book would be Triplanetary, "in which scientific detail would not be bothered about, and in which his imagination would run riot." Indeed, characters within the story point out its psychological and scientific implausibilities, and sometimes even seem to suggest self-parody. At other times, they are conspicuously silent about obvious implausibilities.Costigan & Bradley's failure to object, when told of the Nevians' impending second raid on Tellus (Earth), that they could easily obtain iron without further destruction, February p. 88, p. 175. The January 1933 issue of Astounding announced that Triplanetary would appear in the March issue, and that issue's cover illustrated a scene from the story, but Astoundings financial difficulties prevented the story from appearing. Smith then submitted the manuscript to Wonder Stories, whose new editor, 17-year-old Charles D. Hornig, rejected it, later boasting about the rejection in a fanzine. He finally submitted it to Amazing, which published it beginning in January 1934, but for only half a cent a word. Shortly after it was accepted, F. Orlin Tremaine, the new editor of the revived Astounding, offered one cent a word for Triplanetary; when he learned that he was too late, he suggested a third Skylark novel instead. In the winter of 1933–34, Smith worked on The Skylark of Valeron, but he felt that the story was getting out of control; he sent his first draft to Tremaine, with a distraught note asking for suggestions. Tremaine accepted the rough draft for $850, and announced it in the June 1934 issue, with a full-page editorial and a three-quarter-page advertisement. The novel was published in the August 1934 through February 1935 issues. Astounding's circulation rose by 10,000 for the first issue, and its two main competitors, Amazing and Wonder Stories, fell into financial difficulties, both skipping issues within a year. The Lensman series In January 1936, a time period where he was already an established science-fiction writer, he took a job for salary plus profit-sharing, as production manager at Dawn Donut Co. of Jackson, Michigan.Moskowitz p. 19, Warner. This initially entailed almost a year's worth of 18-hour days and seven-day workweeks. Individuals who knew Smith confirmed that he had a role in developing mixes for doughnuts and other pastries, but the contention that he developed the first process for making powdered sugar adhere to doughnuts cannot be substantiated. Smith was reportedly dislocated from his job at Dawn Donuts by prewar rationing in early 1940. Smith had been contemplating writing a "space-police novel" since early 1927; once he had "the Lensmen's universe fairly well set up", he reviewed his science-fiction collection for "cops-and-robbers" stories. He cites Clinton Constantinescue's "War of the Universe" as a negative example, and Starzl and Williamson as positive ones. Tremaine responded extremely positively to a brief description of the idea. Once Dawn Donuts became profitable in late 1936, Smith wrote an 85-page outline for what became the four core Lensman novels; in early 1937, Tremaine committed to buying them. Segmenting the story into four novels required considerable effort to avoid dangling loose ends; Smith cites Edgar Rice Burroughs as a negative example. After the outline was complete, he wrote a more detailed outline of Galactic Patrol, plus a detailed graph of its structure, with "peaks of emotional intensity and the valleys of characterization and background material." He notes, however, that he was never able to follow any of his outlines at all closely, as the "characters get away from me and do exactly as they damn please." After completing the rough draft of Galactic Patrol, he wrote the concluding chapter of the last book in the series, Children of the Lens. Galactic Patrol was published in the September 1937 through February 1938 issues of Astounding; unlike the revised book edition, it was not set in the same universe as Triplanetary.Gray Lensman, the fourth book in the series, appeared in Astoundings October 1939 through January 1940 issues. (Note that the frequent British spelling "grey" is simply a recurrent mistake, starting with the cover of the first installment; Moskowitz's usage, "The Grey Lensman", is even harder to justify.) Gray Lensman (and its cover illustration) was extremely well received. Campbell's editorial in the December issue suggested that the October issue was the best issue of Astounding ever, and Gray Lensman was first place in the Analytical Laboratory statistics "by a lightyear", with three runners-up in a distant tie for second place. The cover was also praised by readers in Brass Tacks, and Campbell noted, "We got a letter from E. E. Smith saying he and Hubert Rogers agreed on how Kinnison looked." Smith was the guest of honor at Chicon I, the second World Science Fiction Convention, held in Chicago over Labor Day weekend 1940, giving a speech on the importance of science fiction fandom entitled "What Does This Convention Mean?" He attended the convention's masquerade as C. L. Moore's Northwest Smith, and met fans living near him in Michigan, who would later form the Galactic Roamers, which previewed and advised him on his future work. After Pearl Harbor, Smith discovered he "was one year over age for reinstatement" into the US Army. Instead he worked on high explosives at the Kingsbury Ordnance Plant in La Port, Indiana, at first as a chemical engineer, but gradually worked his way up to chief. In late 1943 he became head of the Inspection Division, and was fired in early 1944. An extended segment in the novel version of Triplanetary, set during World War II, suggests intimate familiarity with explosives and munitions manufacturing. Some biographers cite as fact that, just as Smith's protagonist in this segment lost his job over failure to approve substandard munitions, Smith did as well. Smith spent the next few years working on "light farm machinery and heavy tanks for Allis-Chalmers," after which he was hired as manager of the Cereal Mix Division of J. W. Allen & Co., where he worked until his professional retirement in 1957. Retirement and late writing After Smith retired, his wife and he lived in Clearwater, Florida, in the fall and winter, driving the smaller of their two trailers to Seaside, Oregon, each April, often stopping at science fiction conventions on the way. (Smith did not like to fly.) In 1963, he was presented the inaugural First Fandom Hall of Fame award at the 21st World Science Fiction Convention in Washington, D.C. Some of his biography is captured in an essay by Robert A. Heinlein, which was reprinted in the collection Expanded Universe in 1980. A more detailed, although allegedly error-ridden biography is in Sam Moskowitz's Seekers of Tomorrow.Robert Heinlein and Smith were friends. (Heinlein dedicated his 1958 novel Methuselah's Children "To Edward E. Smith, PhD".) Heinlein reported that E. E. Smith perhaps took his "unrealistic" heroes from life, citing as an example the extreme competence of the hero of Spacehounds of IPC. He reported that E. E. Smith was a large, blond, athletic, very intelligent, very gallant man, married to a remarkably beautiful, intelligent, red-haired woman named MacDougal (thus perhaps the prototypes of 'Kimball Kinnison' and 'Clarissa MacDougal'). In Heinlein's essay, he reports that he began to suspect Smith might be a sort of "superman" when he asked Smith for help in purchasing a car. Smith tested the car by driving it on a back road at illegally high speeds with their heads pressed tightly against the roof columns to listen for chassis squeaks by bone conduction—a process apparently improvised on the spot. In his nonseries novels written after his professional retirement, Galaxy Primes, Subspace Explorers, and Subspace Encounter, E. E. Smith explores themes of telepathy and other mental abilities collectively called "psionics", and of the conflict between libertarian and socialistic/communistic influences in the colonization of other planets. Galaxy Primes was written after critics such as Groff Conklin and P. Schuyler Miller in the early '50s accused his fiction of being passé, and he made an attempt to do something more in line with the concepts about which Astounding editor John W. Campbell encouraged his writers to make stories. Despite this, it was rejected by Campbell, and it was eventually published by Amazing Stories in 1959. His late story "The Imperial Stars" (1964), featuring a troupe of circus performers involved in sabotage in a galactic empire, recaptured some of the atmosphere from his earlier works and was intended as the first in a new series, with outlines of later parts rumored to still exist. In fact, the Imperial Stars characters and concepts were continued by author Stephen Goldin as the "Family D'Alembert series". While the book covers indicate the series was written by Smith and Goldin together, Goldin only ever had Smith's original novella to expand upon. The fourth Skylark novel, Skylark DuQuesne, ran in the June to October 1965 issues of If, beginning once again as the cover story. Editor Frederik Pohl introduced it with a one-page summary of the previous stories, which were all at least 30 years old. Lord Tedric Smith published two novelettes entitled "Tedric" in Other Worlds Science Fiction Stories (1953) and "Lord Tedric" in Universe Science Fiction (1954). These were almost completely forgotten until after Smith's death. In 1975, a compendium of Smith's works was published, entitled The Best of E. E. "Doc" Smith, containing these two short stories, excerpts from several of his major works, and another short story first published in Worlds of If in 1964 entitled "The Imperial Stars". In Smith's original short stories, Tedric was a smith (both blacksmith and whitesmith) residing in a small town near a castle in a situation roughly equivalent to England of the 1200s. He received instruction in advanced metallurgy from a time-traveler who wanted to change the situation in his own time by modifying certain events of the past. From this instruction, he was able to build better suits of armor and help defeat the villains of the piece. Unlike Eklund's later novels based on these short stories, the original Tedric never left his own time or planet, and fought purely local enemies of his own time period. A few years later and 13 years after Smith's death, Verna Smith arranged with Gordon Eklund to publish another novel of the same name about the same fictional character, introducing it as "a new series conceived by E. E. 'Doc' Smith". Eklund later went on to publish the other novels in the series, one or two under the pseudonym "E. E. 'Doc' Smith" or "E. E. Smith". The protagonist possesses heroic qualities similar to those of the heroes in Smith's original novels and can communicate with an extra-dimensional race of beings known as the Scientists, whose archenemy is Fra Villion, a mysterious character described as a dark knight, skilled in whip-sword combat, and evil genius behind the creation of a planetoid-sized "iron sphere" armed with a weapon capable of destroying planets. As a result, Smith is believed by many to be the unacknowledged progenitor of themes that would appear in Star Wars. In fact, however, these appear in the sequels written by others after Smith's death. Critical opinion Smith's novels are generally considered to be classic space operas, and he is sometimes called the first of the three "novas" of 20th-century science fiction (with Stanley G. Weinbaum and Robert A. Heinlein as the second and third novas). Heinlein credited him for being his main influence: I have learned from many writers—from Verne and Wells and Campbell and Sinclair Lewis, et al.—but I have learned more from you than from any of the others and perhaps more than for all the others put together... Smith expressed a preference for inventing fictional technologies that were not strictly impossible (so far as the science of the day was aware) but highly unlikely: "the more highly improbable a concept is—short of being contrary to mathematics whose fundamental operations involve no neglect of infinitesimals—the better I like it" was his phrase.Lensman was one of five finalists when the 1966 World Science Fiction Convention judged Isaac Asimov's Foundation the Best All-Time Series. The Science Fiction and Fantasy Hall of Fame inducted Smith in 2004. Extending the Lensman universeVortex Blasters (also known as Masters of the Vortex) is set in the same universe as the Lensman novels. It is an extension to the main storyline which takes place between Galactic Patrol and Children of the Lens, and introduces a different type of psionics from that used by the Lensmen. Spacehounds of IPC is not a part of the series, despite occasional erroneous statements to the contrary. (It is listed as a novel in the series in some paperback editions of the 1970s.) Influence on science and the military Smith was widely read by scientists and engineers from the 1930s into the 1970s. Literary precursors of ideas which arguably entered the military-scientific complex include SDI (Triplanetary), stealth (Gray Lensman), the OODA loop, C3-based warfare, and the AWACS (Gray Lensman). An inarguable influence was described in a June 11, 1947, letter to Smith from John W. Campbell (the editor of Astounding, where much of the Lensman series was originally published). In it, Campbell relayed Captain Cal Laning's acknowledgment that he had used Smith's ideas for displaying the battlespace situation (called the "tank" in the stories) in the design of the United States Navy's ships' Combat Information Centers. "The entire set-up was taken specifically, directly, and consciously from the Directrix. In your story, you reached the situation the Navy was in—more communication channels than integration techniques to handle it. You proposed such an integrating technique and proved how advantageous it could be. You, sir, were 100% right. As the Japanese Navy—not the hypothetical Boskonian fleet—learned at an appalling cost." One underlying theme of the later Lensman novels was the difficulty in maintaining military secrecy—as advanced capabilities are revealed, the opposing side can often duplicate them. This point was also discussed extensively by John Campbell in his letter to Smith. Also in the later Lensman novels, and particular after the "Battle of Klovia" broke the Boskonian's power base at the end of Second Stage Lensmen, the Boskonian forces and particularly Kandron of Onlo reverted to terroristic tactics to attempt to demoralize Civilization, thus providing an early literary glimpse into this modern problem of both law enforcement and military response. The use of "Vee-two" gas by the pirates attacking the Hyperion in Triplanetary (in both magazine and book appearances) also suggests anticipation of the terrorist uses of poison gases. (But note that Smith lived through WW I, when the use of poison gas on troops was well known to the populace; extending the assumption that pirates might use it if they could obtain it was no great extension of the present-day knowledge.) The beginning of the story Skylark of Space describes in relative detail the protagonist's research into separation of platinum group residues, subsequent experiments involving electrolysis, and the discovery of a process evocative of cold fusion (over 50 years before Stanley Pons and Martin Fleischmann). He describes a nuclear process yielding large amounts of energy and producing only negligible radioactive waste—which then goes on to form the basis of the adventures in the Skylark books. Smith's general description of the process of discovery is highly evocative of Röntgen's descriptions of his discovery of the X-ray. Another theme of the Skylark novels involves precursors of modern information technology. The humanoid aliens encountered in the first novel have developed a primitive technology called the "mechanical educator", which allows direct conversion of brain waves into intelligible thought for transmission to others or for electrical storage. By the third novel in the series, Skylark of Valeron, this technology has grown into an "Electronic Brain" which is capable of computation on all "bands" of energy—electromagnetism, gravity, and "tachyonic" energy and radiation bands included. This is itself derived from a discussion of reductionist atomic theory in the second novel, Skylark Three, which brings to mind modern quark and sub-quark theories of elementary particle physics. Literary influences In his 1947 essay "The Epic of Space", Smith listed (by last name only) authors he enjoyed reading: John W. Campbell, L. Sprague de Camp, Robert A. Heinlein, Murray Leinster, H. P. Lovecraft, and A. Merritt (specifically The Ship of Ishtar, The Moon Pool, The Snake Mother, and Dwellers in the Mirage, as well as the character John Kenton), C. L. Moore (specifically "Jirel of Joiry"), Roman Frederick Starzl, John Taine, A. E. van Vogt, Stanley G. Weinbaum (specifically "Tweerl"), and Jack Williamson. In a passage on his preparation for writing the Lensman novels, he notes that Clinton Constantinescu's "War of the Universe" was not a masterpiece,Clinton Constantinescu (1912–1999), later Clinton Constant, was a Romanian Canadian chemical engineer and a member of the American Astronomical Society and several other scientific associations . "War of the Universe", one of his forays into science fiction, depicted a grand multisided space melee using a great variety of superscience weapons, and involving various human races which developed independently of each other on many planets, as well as insectoid, bird-like, and termite-like creatures. A summary is provided on p. 83 of Everett Franklin Bleiler and Richard Bleiler's "Science-fiction: The Gernsback Years" but says that Starzl and Williamson were masters; this suggests that Starzl's Interplanetary Flying Patrol may have been an influence on Smith's Triplanetary Patrol, later the Galactic Patrol. The feeding of the Overlords of Delgon upon the life-force of their victims at the end of chapter five of Galactic Patrol seems a clear allusion to chapter 29 of The Moon Pool, Merritt's account of the Taithu and the power of love in chapters 29 and 34 also bear some resemblance to the end of Children of the Lens. Smith also mentions Edgar Rice Burroughs, complaining about loose ends at the end of one of his novels. Smith acknowledges the help of the Galactic Roamers writers' workshop, plus E. Everett Evans, Ed Counts, an unnamed aeronautical engineer, Dr. James Enright, and Dr. Richard W. Dodson. Smith's daughter, Verna, lists the following authors as visitors to the Smith household in her youth: Lloyd Arthur Eshbach, Heinlein, Dave Kyle, Bob Tucker, Williamson, Pohl, Merritt, and the Galactic Roamers. Smith cites Bigelow's Theoretical Chemistry–Fundamentals as a justification for the possibility of the inertialess drive. Also, an extended reference is made to Rudyard Kipling's "Ballad of Boh Da Thone" in Gray Lensman (chapter 22, "Regeneration", in a conversation between Kinnison and MacDougall). Again in Gray Lensman, Smith quotes from Merritt's Dwellers in the Mirage, even name-checking the author: Sam Moskowitz's biographical essay on Smith in Seekers of Tomorrow states that he regularly read Argosy magazine, and everything by H. G. Wells, Jules Verne, H. Rider Haggard, Edgar Allan Poe, and Edgar Rice Burroughs. Moskowitz also notes that Smith's "reading enthusiasms included poetry, philosophy, ancient and medieval history, and all of English literature". (Smith's grandson notes that he spoke, and sang, German.) The influence of these is not readily apparent, except in the Roman section of Triplanetary, and in the impeccable but convoluted grammar of Smith's narration. Some influence of 19th-century philosophy of language may be detectable in the account in Galactic Patrol of the Lens of Arisia as a universal translator, which is reminiscent of Frege's strong realism about Sinn, that is, thought or sense. Both Moskowitz and Smith's daughter Verna Smith Trestrail report that Smith had a troubled relationship with John Campbell, the editor of Astounding. Smith's most successful works were published under Campbell, but the degree of influence is uncertain. The original outline for the Lensman series had been accepted by F. Orlin Tremaine, and Smith angered Campbell by showing loyalty to Tremaine at his new magazine, Comet, when he sold him "The Vortex Blaster" in 1941. Campbell's announcement of Children of the Lens, in 1947, was less than enthusiastic. Campbell later said that he published it only reluctantly, though he praised it privately, and bought little from Smith thereafter. Derivative works and influence on popular culture Randall Garrett wrote a parody entitled Backstage Lensman which Smith reportedly enjoyed. Harry Harrison also parodied Smith's work in the novel, Star Smashers of the Galaxy Rangers. Sir Arthur C. Clarke's space battle in Earthlight was based on the attack on the Mardonalian fortress in chapter seven of Skylark Three. Steve 'Slug' Russell wrote one of the first computer games, Spacewar!, with inspiration from the space battles from the Lensman series. The Japanese Lensman anime is more an imitation of Star Wars than a translation of the Lensman novels. Efforts to print translations of the associated manga in the United States in the early 1990s without payment of royalties to the Smith family were successfully blocked in court by Verna Smith Trestrail with the help of several California science-fiction authors and fans. In his biography, George Lucas reveals that the Lensman novels were a major influence on his youth. J. Michael Straczynski, creator of the science-fiction television series Babylon 5, also has acknowledged the influence of the Lensman books. Superman creator Jerry Siegel was impressed, at an early age, with the optimistic vision of the future presented in Skylark of Space. An attempt to create a feature film based on the Lensman series by Ron Howard's Imagine Entertainment and Universal Studios began in 2008 with J. Michael Straczynski, the creator of Babylon 5, as writer, but in 2014 the project was scrapped because of budget limitations. In her short "Pliocene Companion" book, author Julian May explained that a major character in her Exile series written in the early 1980s, Marc Remillard, was strongly influenced by Smith's villain character from Skylark DuQuesne, Marc DuQuesne. This was somewhat of a tribute to Smith. May had written an early SF work called Dune Roller in 1950, and had attended several Science Fiction Conventions in the early '50's, where she met and came to know Smith personally. Fictional appearances Smith himself appears as a character in the 2006 novel The Chinatown Death Cloud Peril by Paul Malmont. The novel describes friendship and rivalry among pulp writers of the 1930s. He also appears as "Lensman Ted Smith" in the 1980 novel The Number of the Beast and as "Commander Ted Smith" in the 1985 novel The Cat Who Walks Through Walls, both by Robert A. Heinlein. It is also suggested that he was one of the inspirations for Heinlein's character Lazarus Long. Christopher Nuttall incorporates a fictional quote from “Edward E. Smith, Professor of Sociology” in his military science fiction book, “No Worse Enemy”. Bibliography Because he died in 1965, the works of E. E. Smith are now public domain in countries where the term of copyright lasts 50 years after the death of the author, or less; generally this does not include works first published posthumously. Works first published before 1923, are also public domain in the United States. Additionally, a number of the author's works have become public domain in the United States owing to non-renewal of copyright. Lensman Triplanetary (1948) First Lensman (1950) Galactic Patrol (1950) Gray Lensman (1951) Second Stage Lensmen (1953) The Vortex Blaster (1960) Children of the Lens (1954) Skylark The Skylark of Space (1946) Skylark Three (1948) Skylark of Valeron (1949) Skylark DuQuesne (1966) Subspace Subspace Explorers (1965) Subspace Encounter'' (1983) References External links Skylark Three (original magazine version) Spacehounds of IPC (original magazine version) Some Clays of Idaho, Smith's bachelor's thesis, from the University of Idaho 1890 births 1965 deaths American science fiction writers Science Fiction Hall of Fame inductees Writers from Boise, Idaho People from Sheboygan, Wisconsin People from Seaside, Oregon Novelists from Wisconsin University of Idaho alumni Columbian College of Arts and Sciences alumni American Presbyterians 20th-century American novelists Pulp fiction writers American male novelists Novelists from Idaho 20th-century American male writers
9815
https://en.wikipedia.org/wiki/%C3%89variste%20Galois
Évariste Galois
Évariste Galois (; ; 25 October 1811 – 31 May 1832) was a French mathematician and political activist. While still in his teens, he was able to determine a necessary and sufficient condition for a polynomial to be solvable by radicals, thereby solving a problem that had been open for 350 years. His work laid the foundations for Galois theory and group theory, two major branches of abstract algebra. He was a staunch republican and was heavily involved in the political turmoil that surrounded the French Revolution of 1830. As a result of his political activism, he was arrested repeatedly, serving one jail sentence of several months. For reasons that remain obscure, shortly after his release from prison, he fought in a duel, and died of the wounds he suffered. Life Early life Galois was born on 25 October 1811 to Nicolas-Gabriel Galois and Adélaïde-Marie (née Demante). His father was a Republican and was head of Bourg-la-Reine's liberal party. His father became mayor of the village after Louis XVIII returned to the throne in 1814. His mother, the daughter of a jurist, was a fluent reader of Latin and classical literature and was responsible for her son's education for his first twelve years. In October 1823, he entered the Lycée Louis-le-Grand, At the age of 14, he began to take a serious interest in mathematics. He found a copy of Adrien-Marie Legendre's Éléments de Géométrie, which, it is said, he read "like a novel" and mastered at the first reading. At 15, he was reading the original papers of Joseph-Louis Lagrange, such as the Réflexions sur la résolution algébrique des équations which likely motivated his later work on equation theory, and Leçons sur le calcul des fonctions, work intended for professional mathematicians, yet his classwork remained uninspired, and his teachers accused him of affecting ambition and originality in a negative way. Budding mathematician In 1828, he attempted the entrance examination for the École Polytechnique, the most prestigious institution for mathematics in France at the time, without the usual preparation in mathematics, and failed for lack of explanations on the oral examination. In that same year, he entered the École Normale (then known as l'École préparatoire), a far inferior institution for mathematical studies at that time, where he found some professors sympathetic to him. In the following year Galois's first paper, on continued fractions, was published. It was at around the same time that he began making fundamental discoveries in the theory of polynomial equations. He submitted two papers on this topic to the Academy of Sciences. Augustin-Louis Cauchy refereed these papers, but refused to accept them for publication for reasons that still remain unclear. However, in spite of many claims to the contrary, it is widely held that Cauchy recognized the importance of Galois's work, and that he merely suggested combining the two papers into one in order to enter it in the competition for the Academy's Grand Prize in Mathematics. Cauchy, an eminent mathematician of the time, though with political views that were at the opposite end from Galois's, considered Galois's work to be a likely winner. On 28 July 1829, Galois's father died by suicide after a bitter political dispute with the village priest. A couple of days later, Galois made his second and last attempt to enter the Polytechnique, and failed yet again. It is undisputed that Galois was more than qualified; however, accounts differ on why he failed. More plausible accounts state that Galois made too many logical leaps and baffled the incompetent examiner, which enraged Galois. The recent death of his father may have also influenced his behavior. Having been denied admission to the École polytechnique, Galois took the Baccalaureate examinations in order to enter the École normale. He passed, receiving his degree on 29 December 1829. His examiner in mathematics reported, "This pupil is sometimes obscure in expressing his ideas, but he is intelligent and shows a remarkable spirit of research." He submitted his memoir on equation theory several times, but it was never published in his lifetime due to various events. Though his first attempt was refused by Cauchy, in February 1830 following Cauchy's suggestion he submitted it to the Academy's secretary Joseph Fourier, to be considered for the Grand Prix of the Academy. Unfortunately, Fourier died soon after, and the memoir was lost. The prize would be awarded that year to Niels Henrik Abel posthumously and also to Carl Gustav Jacob Jacobi. Despite the lost memoir, Galois published three papers that year, one of which laid the foundations for Galois theory. The second one was about the numerical resolution of equations (root finding in modern terminology). The third was an important one in number theory, in which the concept of a finite field was first articulated. Political firebrand Galois lived during a time of political turmoil in France. Charles X had succeeded Louis XVIII in 1824, but in 1827 his party suffered a major electoral setback and by 1830 the opposition liberal party became the majority. Charles, faced with political opposition from the chambers, staged a coup d'état, and issued his notorious July Ordinances, touching off the July Revolution which ended with Louis Philippe becoming king. While their counterparts at the Polytechnique were making history in the streets during les Trois Glorieuses, Galois, at the École Normale, was locked in by the school's director. Galois was incensed and wrote a blistering letter criticizing the director, which he submitted to the Gazette des Écoles, signing the letter with his full name. Although the Gazettes editor omitted the signature for publication, Galois was expelled. Although his expulsion would have formally taken effect on 4 January 1831, Galois quit school immediately and joined the staunchly Republican artillery unit of the National Guard. He divided his time between his mathematical work and his political affiliations. Due to controversy surrounding the unit, soon after Galois became a member, on 31 December 1830, the artillery of the National Guard was disbanded out of fear that they might destabilize the government. At around the same time, nineteen officers of Galois's former unit were arrested and charged with conspiracy to overthrow the government. In April 1831, the officers were acquitted of all charges, and on 9 May 1831, a banquet was held in their honor, with many illustrious people present, such as Alexandre Dumas. The proceedings grew riotous. At some point, Galois stood and proposed a toast in which he said, "To Louis Philippe," with a dagger above his cup. The republicans at the banquet interpreted Galois's toast as a threat against the king's life and cheered. He was arrested the following day at his mother's house and held in detention at Sainte-Pélagie prison until 15 June 1831, when he had his trial. Galois's defense lawyer cleverly claimed that Galois actually said, "To Louis-Philippe, if he betrays," but that the qualifier was drowned out in the cheers. The prosecutor asked a few more questions, and perhaps influenced by Galois's youth, the jury acquitted him that same day. On the following Bastille Day (14 July 1831), Galois was at the head of a protest, wearing the uniform of the disbanded artillery, and came heavily armed with several pistols, a loaded rifle, and a dagger. He was again arrested. During his stay in prison, Galois at one point drank alcohol for the first time at the goading of his fellow inmates. One of these inmates, François-Vincent Raspail, recorded what Galois said while drunk in a letter from 25 July. Excerpted from the letter: The first line is a haunting prophecy of how Galois would in fact die; the second shows how Galois was profoundly affected by the loss of his father. Raspail continues that Galois, still in a delirium, attempted suicide, and that he would have succeeded if his fellow inmates hadn't forcibly stopped him. Months later, when Galois's trial occurred on 23 October, he was sentenced to six months in prison for illegally wearing a uniform. While in prison, he continued to develop his mathematical ideas. He was released on 29 April 1832. Final days Galois returned to mathematics after his expulsion from the École Normale, although he continued to spend time in political activities. After his expulsion became official in January 1831, he attempted to start a private class in advanced algebra which attracted some interest, but this waned, as it seemed that his political activism had priority. Siméon Denis Poisson asked him to submit his work on the theory of equations, which he did on 17 January 1831. Around 4 July 1831, Poisson declared Galois's work "incomprehensible", declaring that "[Galois's] argument is neither sufficiently clear nor sufficiently developed to allow us to judge its rigor"; however, the rejection report ends on an encouraging note: "We would then suggest that the author should publish the whole of his work in order to form a definitive opinion." While Poisson's report was made before Galois's 14 July arrest, it took until October to reach Galois in prison. It is unsurprising, in the light of his character and situation at the time, that Galois reacted violently to the rejection letter, and decided to abandon publishing his papers through the Academy and instead publish them privately through his friend Auguste Chevalier. Apparently, however, Galois did not ignore Poisson's advice, as he began collecting all his mathematical manuscripts while still in prison, and continued polishing his ideas until his release on 29 April 1832, after which he was somehow talked into a duel. Galois's fatal duel took place on 30 May. The true motives behind the duel are obscure. There has been much speculation as to the reasons behind it. What is known is that, five days before his death, he wrote a letter to Chevalier which clearly alludes to a broken love affair. Some archival investigation on the original letters suggests that the woman of romantic interest was Stéphanie-Félicie Poterin du Motel, the daughter of the physician at the hostel where Galois stayed during the last months of his life. Fragments of letters from her, copied by Galois himself (with many portions, such as her name, either obliterated or deliberately omitted), are available. The letters hint that du Motel had confided some of her troubles to Galois, and this might have prompted him to provoke the duel himself on her behalf. This conjecture is also supported by other letters Galois later wrote to his friends the night before he died. Galois's cousin, Gabriel Demante, when asked if he knew the cause of the duel, mentioned that Galois "found himself in the presence of a supposed uncle and a supposed fiancé, each of whom provoked the duel." Galois himself exclaimed: "I am the victim of an infamous coquette and her two dupes." Much more detailed speculation based on these scant historical details has been interpolated by many of Galois's biographers (most notably by Eric Temple Bell in Men of Mathematics), such as the frequently repeated speculation that the entire incident was stage-managed by the police and royalist factions to eliminate a political enemy. As to his opponent in the duel, Alexandre Dumas names Pescheux d'Herbinville, who was actually one of the nineteen artillery officers whose acquittal was celebrated at the banquet that occasioned Galois's first arrest. However, Dumas is alone in this assertion, and if he were correct it is unclear why d'Herbinville would have been involved. It has been speculated that he was du Motel's "supposed fiancé" at the time (she ultimately married someone else), but no clear evidence has been found supporting this conjecture. On the other hand, extant newspaper clippings from only a few days after the duel give a description of his opponent (identified by the initials "L.D.") that appear to more accurately apply to one of Galois's Republican friends, most probably Ernest Duchatelet, who was imprisoned with Galois on the same charges. Given the conflicting information available, the true identity of his killer may well be lost to history. Whatever the reasons behind the duel, Galois was so convinced of his impending death that he stayed up all night writing letters to his Republican friends and composing what would become his mathematical testament, the famous letter to Auguste Chevalier outlining his ideas, and three attached manuscripts. Mathematician Hermann Weyl said of this testament, "This letter, if judged by the novelty and profundity of ideas it contains, is perhaps the most substantial piece of writing in the whole literature of mankind." However, the legend of Galois pouring his mathematical thoughts onto paper the night before he died seems to have been exaggerated. In these final papers, he outlined the rough edges of some work he had been doing in analysis and annotated a copy of the manuscript submitted to the Academy and other papers. Early in the morning of 30 May 1832, he was shot in the abdomen, was abandoned by his opponents and his own seconds, and was found by a passing farmer. He died the following morning at ten o'clock in the Hôpital Cochin (probably of peritonitis), after refusing the offices of a priest. His funeral ended in riots. There were plans to initiate an uprising during his funeral, but during the same time frame the leaders heard of General Jean Maximilien Lamarque's death, and the rising was postponed without any uprising occurring until 5 June. Only Galois's younger brother was notified of the events prior to Galois's death. He was 20 years old. His last words to his younger brother Alfred were: On 2 June, Évariste Galois was buried in a common grave of the Montparnasse Cemetery whose exact location is unknown. In the cemetery of his native town – Bourg-la-Reine – a cenotaph in his honour was erected beside the graves of his relatives. In 1843 Joseph Liouville reviewed his manuscript and declared it sound. It was finally published in the October–November 1846 issue of the Journal de Mathématiques Pures et Appliquées. The most famous contribution of this manuscript was a novel proof that there is no quintic formula – that is, that fifth and higher degree equations are not generally solvable by radicals. Although Niels Henrik Abel had already proved the impossibility of a "quintic formula" by radicals in 1824 and Paolo Ruffini had published a solution in 1799 that turned out to be flawed, Galois's methods led to deeper research in what is now called Galois theory. For example, one can use it to determine, for any polynomial equation, whether it has a solution by radicals. Contributions to mathematics From the closing lines of a letter from Galois to his friend Auguste Chevalier, dated 29 May 1832, two days before Galois's death: Within the 60 or so pages of Galois's collected works are many important ideas that have had far-reaching consequences for nearly all branches of mathematics. His work has been compared to that of Niels Henrik Abel, another mathematician who died at a very young age, and much of their work had significant overlap. Algebra While many mathematicians before Galois gave consideration to what are now known as groups, it was Galois who was the first to use the word group (in French groupe) in a sense close to the technical sense that is understood today, making him among the founders of the branch of algebra known as group theory. He developed the concept that is today known as a normal subgroup. He called the decomposition of a group into its left and right cosets a proper decomposition if the left and right cosets coincide, which is what today is known as a normal subgroup. He also introduced the concept of a finite field (also known as a Galois field in his honor), in essentially the same form as it is understood today. In his last letter to Chevalier and attached manuscripts, the second of three, he made basic studies of linear groups over finite fields: He constructed the general linear group over a prime field, GL(ν, p) and computed its order, in studying the Galois group of the general equation of degree pν. He constructed the projective special linear group PSL(2,p). Galois constructed them as fractional linear transforms, and observed that they were simple except if p was 2 or 3. These were the second family of finite simple groups, after the alternating groups. He noted the exceptional fact that PSL(2,p) is simple and acts on p points if and only if p is 5, 7, or 11. Galois theory Galois's most significant contribution to mathematics is his development of Galois theory. He realized that the algebraic solution to a polynomial equation is related to the structure of a group of permutations associated with the roots of the polynomial, the Galois group of the polynomial. He found that an equation could be solved in radicals if one can find a series of subgroups of its Galois group, each one normal in its successor with abelian quotient, or its Galois group is solvable. This proved to be a fertile approach, which later mathematicians adapted to many other fields of mathematics besides the theory of equations to which Galois originally applied it. Analysis Galois also made some contributions to the theory of Abelian integrals and continued fractions. As written in his last letter, Galois passed from the study of elliptic functions to consideration of the integrals of the most general algebraic differentials, today called Abelian integrals. He classified these integrals into three categories. Continued fractions In his first paper in 1828, Galois proved that the regular continued fraction which represents a quadratic surd ζ is purely periodic if and only if ζ is a reduced surd, that is, and its conjugate satisfies . In fact, Galois showed more than this. He also proved that if ζ is a reduced quadratic surd and η is its conjugate, then the continued fractions for ζ and for (−1/η) are both purely periodic, and the repeating block in one of those continued fractions is the mirror image of the repeating block in the other. In symbols we have where ζ is any reduced quadratic surd, and η is its conjugate. From these two theorems of Galois a result already known to Lagrange can be deduced. If r > 1 is a rational number that is not a perfect square, then In particular, if n is any non-square positive integer, the regular continued fraction expansion of √n contains a repeating block of length m, in which the first m − 1 partial denominators form a palindromic string. See also Group theory List of things named after Évariste Galois Niels Henrik Abel Notes References – Reprinting of second revised edition of 1944, The University of Notre Dame Press. . Still in print. – This textbook explains Galois Theory with historical development and includes an English translation of Galois's memoir. – Classic fictionalized biography by physicist Infeld. – This biography challenges the common myth concerning Galois's duel and death. – This comprehensive text on Galois Theory includes a brief biography of Galois himself. – Historical development of Galois theory. External links The Galois Archive (biography, letters and texts in various languages) Two Galois articles, online and analyzed on BibNum : "Mémoire sur les conditions de résolubilité des équations par radicaux" (1830) (link)[for English analysis, click 'A télécharger']; "Démonstration d'un théorème sur les fractions continues périodiques" (1829) (link) [for English analysis, click 'A télécharger'] La vie d'Évariste Galois by Paul Dupuy The first and still one of the most extensive biographies, referred to by every other serious biographer of Galois [https://www.irphe.fr/~clanet/otherpaperfile/articles/Galois/N0029062_PDF_1_84.pdf Œuvres Mathématiques] published in 1846 in the Journal de Liouville, converted to Djvu format by Prof. Antoine Chambert-Loir at the University of Rennes. Alexandre Dumas, Mes Mémoires, the relevant chapter of Alexandre Dumas' memoires where he mentions Galois and the banquet. Theatrical trailer of University College Utrecht's "Évariste – En Garde" 1811 births 1832 deaths People from Bourg-la-Reine École Normale Supérieure alumni Lycée Louis-le-Grand alumni 19th-century French mathematicians Group theorists French murder victims People murdered in France Duelling fatalities Deaths by firearm in France Deaths from peritonitis Burials at Montparnasse Cemetery French duellists
9830
https://en.wikipedia.org/wiki/European%20Convention%20on%20Human%20Rights
European Convention on Human Rights
The European Convention on Human Rights (ECHR; formally the Convention for the Protection of Human Rights and Fundamental Freedoms) is an international convention to protect human rights and political freedoms in Europe. Drafted in 1950 by the then newly formed Council of Europe, the convention entered into force on 3 September 1953. All Council of Europe member states are party to the Convention and new members are expected to ratify the convention at the earliest opportunity. The Convention established the European Court of Human Rights (generally referred to by the initials ECtHR). Any person who feels their rights have been violated under the Convention by a state party can take a case to the Court. Judgments finding violations are binding on the States concerned and they are obliged to execute them. The Committee of Ministers of the Council of Europe monitors the execution of judgements, particularly to ensure payments awarded by the Court appropriately compensate applicants for the damage they have sustained. The Convention has several protocols, which amend the convention framework. The Convention has had a significant influence on the law in Council of Europe member countries and is widely considered the most effective international treaty for human rights protection. History The European Convention on Human Rights has played an important role in the development and awareness of human rights in Europe. The development of a regional system of human rights protections operating across Europe can be seen as a direct response to twin concerns. First, in the aftermath of the Second World War, the convention, drawing on the inspiration of the Universal Declaration of Human Rights, can be seen as part of a wider response from the Allied powers in delivering a human rights agenda to prevent the most serious human rights violations which had occurred during the Second World War from happening again. Second, the Convention was a response to the growth of Stalinism in Central and Eastern Europe and designed to protect the member states of the Council of Europe from communist subversion. This, in part, explains the constant references to values and principles that are "necessary in a democratic society" throughout the Convention, despite the fact that such principles are not in any way defined within the convention itself. From 7 to 10 May 1948, politicians including Winston Churchill, François Mitterrand and Konrad Adenauer, civil society representatives, academics, business leaders, trade unionists, and religious leaders convened the Congress of Europe in The Hague. At the end of the Congress, a declaration and following pledge to create the Convention was issued. The second and third Articles of the Pledge stated: "We desire a Charter of Human Rights guaranteeing liberty of thought, assembly and expression as well as right to form a political opposition. We desire a Court of Justice with adequate sanctions for the implementation of this Charter." The Convention was drafted by the Council of Europe after the Second World War and Hague Congress. Over 100 parliamentarians from the twelve member states of the Council of Europe gathered in Strasbourg in the summer of 1949 for the first ever meeting of the Council's Consultative Assembly to draft a "charter of human rights" and to establish a court to enforce it. British MP and lawyer Sir David Maxwell-Fyfe, the Chair of the Assembly's Committee on Legal and Administrative Questions, was one of its leading members and guided the drafting of the Convention, based on an earlier draft produced by the European Movement. As a prosecutor at the Nuremberg Trials, he had seen first-hand how international justice could be effectively applied. French former minister and Resistance fighter Pierre-Henri Teitgen submitted a report to the Assembly proposing a list of rights to be protected, selecting a number from the Universal Declaration of Human Rights that had recently been agreed to in New York, and defining how the enforcing judicial mechanism might operate. After extensive debates, the Assembly sent its final proposal to the Council's Committee of Ministers, which convened a group of experts to draft the Convention itself. The Convention was designed to incorporate a traditional civil liberties approach to securing "effective political democracy", from the strongest traditions in the United Kingdom, France and other member states of the fledgling Council of Europe, as said by Guido Raimondi, President of European Court of Human Rights: The Convention was opened for signature on 4 November 1950 in Rome. It was ratified and entered into force on 3 September 1953. It is overseen and enforced by the European Court of Human Rights in Strasbourg, and the Council of Europe. Until procedural reforms in the late 1990s, the Convention was also overseen by a European Commission on Human Rights. Drafting The Convention is drafted in broad terms, in a similar (albeit more modern) manner to the 1689 Scottish Claim of Right Act 1689, to the 1689 English Bill of Rights, the 1791 U.S. Bill of Rights, the 1789 French Declaration of the Rights of Man and of the Citizen, or the first part of the German Basic Law. Statements of principle are, from a legal point of view, not determinative and require extensive interpretation by courts to bring out meaning in particular factual situations. Convention articles As amended by Protocol 11, the Convention consists of three parts. The main rights and freedoms are contained in Section I, which consists of Articles 2 to 18. Section II (Articles 19 to 51) sets up the Court and its rules of operation. Section III contains various concluding provisions. Before the entry into force of Protocol 11, Section II (Article 19) set up the Commission and the Court, Sections III (Articles 20 to 37) and IV (Articles 38 to 59) included the high-level machinery for the operation of, respectively, the Commission and the Court, and Section V contained various concluding provisions. Many of the Articles in Section I are structured in two paragraphs: the first sets out a basic right or freedom (such as Article 2(1) – the right to life) but the second contains various exclusions, exceptions or limitations on the basic right (such as Article 2(2) – which excepts certain uses of force leading to death). Article 1 – respecting rights Article 1 simply binds the signatory parties to secure the rights under the other Articles of the Convention "within their jurisdiction". In exceptional cases, "jurisdiction" may not be confined to a Contracting State's own national territory; the obligation to secure Convention rights then also extends to foreign territories, such as occupied land in which the State exercises effective control. In Loizidou v Turkey, the European Court of Human Rights ruled that jurisdiction of member states to the convention extended to areas under that state's effective control as a result of military action. Article 2 – life Article 2 protects the right of every person to their life. The right to life extends only to human beings, not to animals, or to "legal persons" such as corporations. In Evans v United Kingdom, the Court ruled that the question of whether the right to life extends to a human embryo fell within a state's margin of appreciation. In Vo v France, the Court declined to extend the right to life to an unborn child, while stating that "it is neither desirable, nor even possible as matters stand, to answer in the abstract the question whether the unborn child is a person for the purposes of Article 2 of the Convention". The Court has ruled that states have three main duties under Article 2: a duty to refrain from unlawful killing, a duty to investigate suspicious deaths, and in certain circumstances, a positive duty to prevent foreseeable loss of life. The first paragraph of the article contains an exception for lawful executions, although this exception has largely been superseded by Protocols 6 and 13. Protocol 6 prohibits the imposition of the death penalty in peacetime, while Protocol 13 extends the prohibition to all circumstances. (For more on Protocols 6 and 13, see below). The second paragraph of Article 2 provides that death resulting from defending oneself or others, arresting a suspect or fugitive, or suppressing riots or insurrections, will not contravene the Article when the use of force involved is "no more than absolutely necessary". Signatory states to the Convention can only derogate from the rights contained in Article 2 for deaths which result from lawful acts of war. The European Court of Human Rights did not rule upon the right to life until 1995, when in McCann and Others v United Kingdom it ruled that the exception contained in the second paragraph does not constitute situations when it is permitted to kill, but situations where it is permitted to use force which might result in the deprivation of life. Article 3 – torture Article 3 prohibits torture and "inhuman or degrading treatment or punishment". There are no exceptions or limitations on this right. This provision usually applies, apart from torture, to cases of severe police violence and poor conditions in detention. The Court has emphasized the fundamental nature of Article 3 in holding that the prohibition is made in "absolute terms ... irrespective of a victim's conduct". The Court has also held that states cannot deport or extradite individuals who might be subjected to torture, inhuman or degrading treatment or punishment, in the recipient state. The first case to examine Article 3 was the Greek case, which set an influential precedent. In Ireland v. United Kingdom (1979–1980) the Court ruled that the five techniques developed by the United Kingdom (wall-standing, hooding, subjection to noise, deprivation of sleep, and deprivation of food and drink), as used against fourteen detainees in Northern Ireland by the United Kingdom were "inhuman and degrading" and breached the European Convention on Human Rights, but did not amount to "torture". In Aksoy v. Turkey (1997) the Court found Turkey guilty of torture in 1996 in the case of a detainee who was suspended by his arms while his hands were tied behind his back. Selmouni v. France (2000) the Court has appeared to be more open to finding states guilty of torture ruling that since the Convention is a "living instrument", treatment which it had previously characterized as inhuman or degrading treatment might in future be regarded as torture. In 2014, after new information was uncovered that showed the decision to use the five techniques in Northern Ireland in 1971–1972 had been taken by British ministers, the Irish Government asked the European Court of Human Rights to review its judgement. In 2018, by six votes to one, the Court declined. Article 4 – servitude Article 4 prohibits slavery, servitude and forced labour but exempts labour: done as a normal part of imprisonment, in the form of compulsory military service or work done as an alternative by conscientious objectors, required to be done during a state of emergency, and considered to be a part of a person's normal "civic obligations". Article 5 – liberty and security Article 5 provides that everyone has the right to liberty and security of person. Liberty and security of the person are taken as a "compound" concept – security of the person has not been subject to separate interpretation by the Court. Article 5 provides the right to liberty, subject only to lawful arrest or detention under certain other circumstances, such as arrest on reasonable suspicion of a crime or imprisonment in fulfilment of a sentence. The article also provides those arrested with the right to be informed, in a language they understand, of the reasons for the arrest and any charge they face, the right of prompt access to judicial proceedings to determine the legality of the arrest or detention, to trial within a reasonable time or release pending trial, and the right to compensation in the case of arrest or detention in violation of this article. Assanidze v. Georgia, App. No. 71503/01 (Eur. Ct. H.R. 8 April 2004) Article 6 – fair trial Article 6 provides a detailed right to a fair trial, including the right to a public hearing before an independent and impartial tribunal within reasonable time, the presumption of innocence, and other minimum rights for those charged with a criminal offence (adequate time and facilities to prepare their defence, access to legal representation, right to examine witnesses against them or have them examined, right to the free assistance of an interpreter). The majority of convention violations that the court finds today are excessive delays, in violation of the "reasonable time" requirement, in civil and criminal proceedings before national courts, mostly in Italy and France. Under the "independent tribunal" requirement, the court has ruled that military judges in Turkish state security courts are incompatible with Article 6. In compliance with this Article, Turkey has now adopted a law abolishing these courts. Another significant set of violations concerns the "confrontation clause" of Article 6 (i.e. the right to examine witnesses or have them examined). In this respect, problems of compliance with Article 6 may arise when national laws allow the use in evidence of the testimonies of absent, anonymous and vulnerable witnesses. Steel v. United Kingdom (1998) 28 EHRR 603 Assanidze v. Georgia [2004] ECHR 140 Othman (Abu Qatada) v. United Kingdom (2012) – Abu Qatada could not be deported to Jordan as that would be a violation of Article 6 "given the real risk of the admission of evidence obtained by torture". This was the first time the court ruled that such an expulsion would be a violation of Article 6. Article 7 – retroactivity Article 7 prohibits the retroactive criminalisation of acts and omissions. No person may be punished for an act that was not a criminal offence at the time of its commission. The article states that a criminal offence is one under either national or international law, which would permit a party to prosecute someone for a crime which was not illegal under domestic law at the time, so long as it was prohibited by international law. The Article also prohibits a heavier penalty being imposed than was applicable at the time when the criminal act was committed. Article 7 incorporates the legal principle nullum crimen, nulla poena sine lege (no crime, no penalty without law) into the convention. Relevant cases are: Kokkinakis v. Greece [1993] ECHR 20 S.A.S. v. France [2014] ECHR 69 Article 8 – privacy Article 8 provides a right to respect for one's "private and family life, his home and his correspondence", subject to certain restrictions that are "in accordance with law" and "necessary in a democratic society". This article clearly provides a right to be free of unlawful searches, but the Court has given the protection for "private and family life" that this article provides a broad interpretation, taking for instance that prohibition of private consensual homosexual acts violates this article. There have been cases discussing consensual familial sexual relationships, and how the criminalisation of this may violate this article. However, the ECHR still allows such familial sexual acts to be criminal. This may be compared to the jurisprudence of the United States Supreme Court, which has also adopted a somewhat broad interpretation of the right to privacy. Furthermore, Article 8 sometimes comprises positive obligations: whereas classical human rights are formulated as prohibiting a State from interfering with rights, and thus not to do something (e.g. not to separate a family under family life protection), the effective enjoyment of such rights may also include an obligation for the State to become active, and to do something (e.g. to enforce access for a divorced parent to his/her child). Notable cases: Zakharov v. Russia [2015] EHCR 47143/06 Malone v. United Kingdom [1984] ECHR 10, (1984) 7 EHRR 14 Oliari and Others v. Italy (2015) Article 9 – conscience and religion Article 9 provides a right to freedom of thought, conscience and religion. This includes the freedom to change a religion or belief, and to manifest a religion or belief in worship, teaching, practice and observance, subject to certain restrictions that are "in accordance with law" and "necessary in a democratic society". Relevant cases are: Kokkinakis v. Greece [1993] ECHR 20 Universelles Leben e.V. v. Germany [1996] (app. no. 29745/96) Buscarini and Others v. San Marino [1999] ECHR 7 Pichon and Sajous v. France [2001] ECHR 898 Leyla Şahin v. Turkey [2004] ECHR 299 Leela Förderkreis E.V. and Others v. Germany [2008] ECHR Lautsi v. Italy [2011] ECHR 2412 S.A.S. v. France [2014] ECHR 695 Eweida v. United Kingdom [2013] ECHR 2013 Article 10 – expression Article 10 provides the right to freedom of expression, subject to certain restrictions that are "in accordance with law" and "necessary in a democratic society". This right includes the freedom to hold opinions, and to receive and impart information and ideas, but allows restrictions for: interests of national security territorial integrity or public safety prevention of disorder or crime protection of health or morals protection of the reputation or the rights of others preventing the disclosure of information received in confidence maintaining the authority and impartiality of the judiciary Relevant cases are: Lingens v. Austria (1986) 8 EHRR 407 The Observer and The Guardian v. United Kingdom (1991) 14 EHRR 153, the "Spycatcher" case. Bowman v. United Kingdom [1998] ECHR 4, (1998) 26 EHRR 1, distributing vast quantities of anti-abortion material in contravention of election spending laws Communist Party v. Turkey (1998) 26 EHRR 1211 Appleby v. United Kingdom (2003) 37 EHRR 38, protests in a private shopping centre Article 11 – association Article 11 protects the right to freedom of assembly and association, including the right to form trade unions, subject to certain restrictions that are "in accordance with law" and "necessary in a democratic society". Vogt v. Germany (1995) Yazar, Karatas, Aksoy and Hep v. Turkey (2003) 36 EHRR 59 Bączkowski v. Poland (2005) Article 12 – marriage Article 12 provides a right for women and men of marriageable age to marry and establish a family. Despite a number of invitations, the Court has so far refused to apply the protections of this article to same-sex marriage. The Court has defended this on the grounds that the article was intended to apply only to different-sex marriage, and that a wide margin of appreciation must be granted to parties in this area. In Goodwin v. United Kingdom the Court ruled that a law which still classified post-operative transsexual persons under their pre-operative sex violated article 12 as it meant that transsexual persons were unable to marry individuals of their post-operative opposite sex. This reversed an earlier ruling in Rees v. United Kingdom. This did not, however, alter the Court's understanding that Article 12 protects only different-sex couples. The European Court of Human Rights ruled in Schalk and Kopf v. Austria that countries are not required to provide marriage licenses for same-sex couples; however, if a country allows same-sex couple marriage it must be done under the same conditions that opposite-sex couples marriage face, in order to prevent a breach of article 14 – the prohibition of discrimination. Additionally, the court ruled in the 2015 case of Oliari and Others v. Italy that states have a positive obligation to ensure there is a specific legal framework for the recognition and protection of same-sex couples. Article 13 – effective remedy Article 13 provides for the right for an effective remedy before national authorities for violations of rights under the Convention. The inability to obtain a remedy before a national court for an infringement of a Convention right is thus a free-standing and separately actionable infringement of the Convention. Article 14 – discrimination Article 14 contains a prohibition of discrimination. This prohibition is broad in some ways and narrow in others. It is broad in that it prohibits discrimination under a potentially unlimited number of grounds. While the article specifically prohibits discrimination based on "sex, race, colour, language, religion, political or other opinions, national or social origin, association with a national minority, property, birth or other status", the last of these allows the court to extend to Article 14 protection to other grounds not specifically mentioned such as has been done regarding discrimination based on a person's sexual orientation. At the same time, the article's protection is limited in that it only prohibits discrimination with respect to rights under the Convention. Thus, an applicant must prove discrimination in the enjoyment of a specific right that is guaranteed elsewhere in the Convention (e.g. discrimination based on sex – Article 14 – in the enjoyment of the right to freedom of expression – Article 10). Protocol 12 extends this prohibition to cover discrimination in any legal right, even when that legal right is not protected under the Convention, so long as it is provided for in national law. Article 15 – derogations Article 15 allows contracting states to derogate from certain rights guaranteed by the Convention in a time of "war or other public emergency threatening the life of the nation". Permissible derogations under article 15 must meet three substantive conditions: there must be a public emergency threatening the life of the nation; any measures taken in response must be "strictly required by the exigencies of the situation"; and the measures taken in response to it must be in compliance with a state's other obligations under international law. In addition to these substantive requirements, the derogation must be procedurally sound. There must be some formal announcement of the derogation and notice of the derogation and any measures adopted under it, and the ending of the derogation must be communicated to the Secretary-General of the Council of Europe. As of 2016, eight member states had ever invoked derogations. The Court is quite permissive in accepting a state's derogations from the Convention but applies a higher degree of scrutiny in deciding whether measures taken by states under a derogation are, in the words of Article 15, "strictly required by the exigencies of the situation". Thus in A v United Kingdom, the Court dismissed a claim that a derogation lodged by the British government in response to the September 11 attacks was invalid, but went on to find that measures taken by the United Kingdom under that derogation were disproportionate. Examples of such derogations include: In the 1969 Greek case, the European Commission of Human Rights ruled that the derogation was invalid because the alleged Communist subversion did not pose a sufficient threat. This is the only time to date that the Convention system has rejected an attempted derogation. Operation Demetrius—Internees arrested without trial pursuant to "Operation Demetrius" could not complain to the European Commission of Human Rights about breaches of Article 5 because on 27 June 1975, the UK lodged a notice with the Council of Europe declaring that there was a "public emergency within the meaning of Article 15(1) of the Convention". Article 16 – foreign parties Article 16 allows states to restrict the political activity of foreigners. The Court has ruled that European Union member states cannot consider the nationals of other member states to be aliens. Article 17 – abuse of rights Article 17 provides that no one may use the rights guaranteed by the Convention to seek the abolition or limitation of rights guaranteed in the Convention. This addresses instances where states seek to restrict a human right in the name of another human right, or where individuals rely on a human right to undermine other human rights (for example where an individual issues a death threat). Communist Party of Germany v. the Federal Republic of Germany (1957), the Commission refused to consider the appeal by the Communist Party of Germany, stating that the communist doctrine advocated by them is incompatible with the convention, citing article 17's limitations on the rights to the extent necessarily to prevent their subversion by adherents of a totalitarian doctrine. Article 18 – permitted restrictions Article 18 provides that any limitations on the rights provided for in the Convention may be used only for the purpose for which they are provided. For example, Article 5, which guarantees the right to personal freedom, may be explicitly limited in order to bring a suspect before a judge. To use pre-trial detention as a means of intimidation of a person under a false pretext is, therefore, a limitation of right (to freedom) which does not serve an explicitly provided purpose (to be brought before a judge), and is therefore contrary to Article 18. Convention protocols , fifteen protocols to the Convention have been opened for signature. These can be divided into two main groups: those amending the framework of the convention system, and those expanding the rights that can be protected. The former require unanimous ratification by member states before coming into force, while the latter require a certain number of states to sign before coming into force. Protocol 1 This Protocol contains three different rights which the signatories could not agree to place in the Convention itself. Monaco and Switzerland have signed but never ratified Protocol 1. Article 1 – property Article 1 ("A1P1") provides that "every natural or legal person is entitled to the peaceful enjoyment of his possessions". The European Court of Human Rights acknowledged a violation of the fair balance between the demands of the general interest of the community and the requirements of the protection of the individual's fundamental rights, also, in the uncertainty – for the owner – about the future of the property, and in the absence of an allowance. Article 2 – education Article 2 provides for the right not to be denied an education and the right for parents to have their children educated in accordance with their religious and other views. It does not however guarantee any particular level of education of any particular quality. Although phrased in the Protocol as a negative right, in Şahin v. Turkey the Court ruled that: Article 3 – elections Article 3 provides for the right to elections performed by secret ballot, that are also free and that occur at regular intervals. Matthews v. United Kingdom (1999) 28 EHRR 361 Protocol 4 – civil imprisonment, free movement, expulsion Article 1 prohibits the imprisonment of people for inability to fulfil a contract. Article 2 provides for a right to freely move within a country once lawfully there and for a right to leave any country. Article 3 prohibits the expulsion of nationals and provides for the right of an individual to enter a country of their nationality. Article 4 prohibits the collective expulsion of foreigners. Turkey and the United Kingdom have signed but never ratified Protocol 4. Greece and Switzerland have neither signed nor ratified this protocol. The United Kingdom's failure to ratify this protocol is due to concerns over the interaction of Article 2 and Article 3 with British nationality law. Specifically, several classes of "British national" (such as British National (Overseas)) do not have the right of abode in the United Kingdom and are subject to immigration control there. In 2009, the UK government stated that it had no plans to ratify Protocol 4 because of concerns that those articles could be taken as conferring that right. Protocol 6 – restriction of death penalty Requires parties to restrict the application of the death penalty to times of war or "imminent threat of war". Every Council of Europe member state has signed and ratified Protocol 6, except Russia, which has signed but not ratified. Protocol 7 – crime and family Article 1 provides for a right to fair procedures for lawfully resident foreigners facing expulsion. Article 2 provides for the right to appeal in criminal matters. Article 3 provides for compensation for the victims of miscarriages of justice. Article 4 prohibits the re-trial of anyone who has already been finally acquitted or convicted of a particular offence (Double jeopardy). Article 5 provides for equality between spouses. Despite having signed the protocol more than thirty years ago Germany and the Netherlands have never ratified it. Turkey, which signed the protocol in 1985, ratified it in 2016, becoming the latest member state to do so. The United Kingdom has neither signed nor ratified the protocol. Protocol 12 – discrimination Applies the current expansive and indefinite grounds of prohibited discrimination in Article 14 to the exercise of any legal right and to the actions (including the obligations) of public authorities. The Protocol entered into force on 1 April 2005 and has () been ratified by 20 member states. Several member states—Bulgaria, Denmark, France, Lithuania, Monaco, Poland, Sweden, Switzerland, and the United Kingdom—have not signed the protocol. The United Kingdom government has declined to sign Protocol 12 on the basis that they believe the wording of protocol is too wide and would result in a flood of new cases testing the extent of the new provision. They believe that the phrase "rights set forth by law" might include international conventions to which the UK is not a party, and would result in incorporation of these instruments by stealth. It has been suggested that the protocol is therefore in a catch-22, since the UK will decline to either sign or ratify the protocol until the European Court of Human Rights has addressed the meaning of the provision, while the court is hindered in doing so by the lack of applications to the court concerning the protocol caused by the decisions of Europe's most populous states—including the UK—not to ratify the protocol. The UK government, nevertheless, stated in 2004 that it "agrees in principle that the ECHR should contain a provision against discrimination that is free-standing and not parasitic on the other Convention rights". The first judgment that found a violation of Protocol No. 12, Sejdić and Finci v. Bosnia and Herzegovina, was delivered in 2009. Protocol 13 – complete abolition of death penalty Protocol 13 provides for the total abolition of the death penalty. Currently all Council of Europe member states but three have ratified Protocol 13. Armenia has signed but not ratified the protocol. Russia and Azerbaijan have not signed it. Procedural and institutional protocols The Convention's provisions affecting institutional and procedural matters have been altered several times by means of protocols. These amendments have, with the exception of Protocol 2, amended the text of the convention. Protocol 2 did not amend the text of the convention as such but stipulated that it was to be treated as an integral part of the text. All of these protocols have required the unanimous ratification of all the member states of the Council of Europe to enter into force. Protocol 11 Protocols 2, 3, 5, 8, 9 and 10 have now been superseded by Protocol 11 which entered into force on 1 November 1998. It established a fundamental change in the machinery of the convention. It abolished the Commission, allowing individuals to apply directly to the Court, which was given compulsory jurisdiction and altered the latter's structure. Previously states could ratify the Convention without accepting the jurisdiction of the Court of Human Rights. The protocol also abolished the judicial functions of the Committee of Ministers. Protocol 14 Protocol 14 follows on from Protocol 11 in proposing to further improve the efficiency of the Court. It seeks to "filter" out cases that have less chance of succeeding along with those that are broadly similar to cases brought previously against the same member state. Furthermore, a case will not be considered admissible where an applicant has not suffered a "significant disadvantage". This latter ground can only be used when an examination of the application on the merits is not considered necessary and where the subject-matter of the application had already been considered by a national court. A new mechanism was introduced by Protocol 14 to assist enforcement of judgements by the Committee of Ministers. The Committee can ask the Court for an interpretation of a judgement and can even bring a member state before the Court for non-compliance of a previous judgement against that state. Protocol 14 also allows for European Union accession to the Convention. The protocol has been ratified by every Council of Europe member state, Russia being last in February 2010. It entered into force on 1 June 2010. A provisional Protocol 14bis had been opened for signature in 2009. Pending the ratification of Protocol 14 itself, 14bis was devised to allow the Court to implement revised procedures in respect of the states which have ratified it. It allowed single judges to reject manifestly inadmissible applications made against the states that have ratified the protocol. It also extended the competence of three-judge chambers to declare applications made against those states admissible and to decide on their merits where there already is a well-established case law of the Court. Now that all Council of Europe member states have ratified Protocol 14, Protocol 14bis has lost its raison d'être and according to its own terms ceased to have any effect when Protocol 14 entered into force on 1 June 2010. See also Strasbourg Observers Capital punishment in Europe Charter of Fundamental Rights of the European Union European Social Charter Human Rights Act 1998 for how the Convention has been incorporated into the law of the United Kingdom. Human rights in Europe Territorial scope of European Convention on Human Rights European Convention on Human Rights Act 2003 Irish Act similar to the British Human Rights Act 1998. International Institute of Human Rights United Kingdom constitutional law Notes Further reading Kälin W., Künzli J. (2019). The Law of International Human Rights Protection. . External links Official text of the European Convention on Human Rights Protocols to the Convention for the Protection of Human Rights and Fundamental Freedoms Database of European Human Rights Court (Strasbourg) judgments Human rights instruments Convention on Human Rights Treaties concluded in 1950 Treaties entered into force in 1953 Treaties of Albania Treaties of Andorra Treaties of Armenia Treaties of Austria Treaties of Azerbaijan Treaties of Belgium Treaties of Bosnia and Herzegovina Treaties of Bulgaria Treaties of Croatia Treaties of Cyprus Treaties of the Czech Republic Treaties of Denmark Treaties of Estonia Treaties of Finland Treaties of France Treaties of Georgia (country) Treaties of West Germany Treaties of Greece Treaties of Hungary Treaties of Iceland Treaties of Ireland Treaties of Italy Treaties of Latvia Treaties of Liechtenstein Treaties of Lithuania Treaties of Luxembourg Treaties of Malta Treaties of Moldova Treaties of Monaco Treaties of Montenegro Treaties of the Netherlands Treaties of Norway Treaties of Poland Treaties of Portugal Treaties of Romania Treaties of Russia Treaties of San Marino Treaties of Serbia and Montenegro Treaties of Slovakia Treaties of Slovenia Treaties of Spain Treaties of Sweden Treaties of Switzerland Treaties of North Macedonia Treaties of Turkey Treaties of Ukraine Treaties of the United Kingdom 1950 in Italy 1950s in Rome Anti–death penalty treaties
9833
https://en.wikipedia.org/wiki/Eureka%20Rebellion
Eureka Rebellion
The Eureka Rebellion occurred in 1854, instigated by gold miners in Ballarat, Victoria, Australia, who revolted against the colonial authority of the United Kingdom. It culminated in the Battle of the Eureka Stockade, which was fought between rebels and the colonial forces of Australia on 3 December 1854 at Eureka Lead and named after a stockade structure built by miners in the lead-up to the conflict. The rebellion resulted in at least 27 deaths and many injuries, the majority of casualties being rebels. The rebellion was the culmination of a period of civil disobedience during the Victorian gold rush with miners objecting to the expense of a miner's licence, taxation via the licence without representation, and the actions of the government, the police and military. The local rebellion grew from a Ballarat Reform League movement and culminated in the erection by the rebels of a crude battlement and a swift and deadly siege by colonial forces. When the captured rebels faced trial in Melbourne, mass public support led to their release and resulted in the introduction of the Electoral Act 1856, which mandated suffrage for male colonists in the lower house in the Victorian parliament. This is considered the second instituted act of political democracy in Australia. The Eureka Rebellion is controversially identified with the birth of democracy in Australia and interpreted by many as a political revolt. A dedicated museum in Ballarat, the Museum of Australian Democracy at Eureka, houses a flag which the miners designed and swore allegiance to before the battle. Known at the time as the "Australian flag", it has become a national symbol, and is sometimes a candidate in debates about changing the Australian flag. Location In 2015, a report commissioned by the City of Ballarat found that the most likely site of the rallies which led to the rebellion was 29 St. Paul's Way, Bakery Hill. Given documentary evidence and its elevation, this was likely to be the site where speeches were made and the Eureka Flag was symbolically hoisted for the first time. As of 2018, the area is a carpark awaiting residential development. The precise site of the Stockade itself remains unknown, but William Bramwell Withers described its location in 1870: 'It was an area of about an acre, rudely enclosed with slabs, and situated at the point where the Eureka Lead took its bend by the old Melbourne road, now called Eureka Street ... The Site ... lay about midway between what are now Stawell and Queen streets on the east and west, and close to Eureka Street on the south.' Background Protests on the Goldfields: 1851–1854 Hiscock's gold rush began on 12 August 1851 following the publication in the Geelong Advertiser of Thomas Hiscock's gold findings at Hiscock's, 3 kilometres west of Buninyong (now Magpie, approximately 10 kilometres south of Eureka). Just days later on 16 August 1851, Lieutenant-Governor Latrobe proclaimed in the Government Gazette crown rights for all mining proceeds and a licence fee of 30 shillings per month effective from 1 September 1851. On 26 August, a rally of 40–50 miners opposing the fee was held at Hiscock's gully – the first of many such protests in the colony. The miners opposed government policies of oppression including the licence fee, and put forward four resolutions to this effect. This first meeting was followed by dissent across the colony's mining settlements. In December the government announced that it intended to triple the licence fee from £1 to £3 a month, from 1 January 1852. This move incited protests around the colony, including the Forest Creek Monster Meeting of December 1851. In Ballarat, as historian Weston Bate noted, diggers became so agitated that they began to gather arms. The government hastily repealed its plans due to the reaction. Nevertheless, the oppressive licence hunts continued and increased in frequency causing general dissent among the diggers. In addition, alcohol laws caused significant dissatisfaction. Originally, the Victorian government had prohibited the sale of alcohol on the goldfields, which caused resentment among the mainly working-class miners, who considered alcohol consumption a tradition. This prohibition was eventually repealed and replaced by a system of alcohol licenses. These licenses were largely handed out to hoteliers who bribed the local police and magistrates, and these hoteliers resulting ties to the authorities made them unpopular with the miners, who continued to frequent underground "sly-grog" establishments. Changes to the Goldfields Act in 1853 allowed licence searches to occur at any time which further incensed the diggers. In Bendigo in 1853, an Anti-Gold Licence Association was formed and the miners were apparently on the brink of an armed clash with authorities. Again in 1854, Bendigo miners responded to an increase in the frequency of twice weekly licence hunts with threats of armed rebellion. Murder of James Scobie and the burning of Bentley's Hotel On 7 October 1854, Scottish miner James Scobie was killed at Bentley's Eureka Hotel. James Bentley, the proprietor of the hotel, was the prime suspect in Scobie's murder, but an inquiry by a magistrate found that there was not enough evidence for Bentley to be charged. It was believed among the miners that Bentley not being charged was due to the fact that the police and magistrate in question were his friends. Ten days later, on 17 October 1854, between 1,000 and 10,000 miners gathered at the hotel to protest the dismissal. The miners proceeded to riot and Bentley and his family fled as the hotel was burnt down by the angry mob. A small group of soldiers were unable to suppress the riot. In the aftermath of the incident, Bentley was arrested and subsequently found guilty of manslaughter. Three miners who had participated in the burning of the hotel were also arrested, and calls for their release were added to the complaints of the miners. Further unrest On 22 October 1854, Ballarat Catholics met to protest the treatment of Father Smyth. The next day, the arrests of miners McIntyre and Fletcher for the Eureka Hotel fire provoked a mass meeting which attracted 4000 miners. The meeting resolved to establish a 'Digger's Rights Society', to protect their rights. On 1 November 1854, 10,000 miners met once again at Bakery Hill. They were addressed by Thomas Kennedy, Henry Holyoake, George Black and Henry Ross. The diggers were further angered by the arrest of another seven of their number for the Eureka Hotel fire. Ballarat Reform League On Saturday, 11 November 1854 a crowd estimated at more than 10,000 miners gathered at Bakery Hill, directly opposite the government encampment. At this meeting, the Ballarat Reform League was created, under the chairmanship of Chartist John Basson Humffray. Several other Reform League leaders, including Kennedy and Holyoake, had been involved with the Chartist movement in England. Many of the miners had past involvement in the Chartist movement and the social upheavals in Britain, Ireland, and continental Europe during the 1840s. In setting its goals, the Ballarat Reform League used the first five of the British Chartist movement's principles as set out in the People's Charter of 1838. They did not adopt or agitate for the Chartist's sixth principle, secret ballots. The meeting passed a resolution "that it is the inalienable right of every citizen to have a voice in making the laws he is called on to obey, that taxation without representation is tyranny." The meeting also resolved to secede from the United Kingdom if the situation did not improve. Throughout the following weeks, the League sought to negotiate with Commissioner Robert Rede and the Governor of Victoria, Sir Charles Hotham, on the specific matters relating to Bentley and the death of Scobie, the men being tried for the burning of the Eureka Hotel, the broader issues of abolition of the licence, suffrage and democratic representation of the gold fields, and disbanding of the Gold Commission. On 16 November 1854 Governor Hotham appointed a Royal Commission to address the gold miners' problems and grievances. However, Commissioner Rede, rather than hear miners' grievances, increased the police presence in the gold fields and summoned reinforcements from Melbourne. Many historians (most notably Manning Clark) attribute this to his belief in his right to exert authority over the "rabble." On 28 November 1854, the reinforcements marching from Melbourne were attacked by a crowd of miners. A number were injured. A rumour of the death of a drummer boy began, and there was even a memorial erected to him in Ballarat Cemetery for many years, although historical research has shown that the boy, John Egan, continued military service until dying in 1860. At a meeting of about 12,000 'diggers' on the following day, (29 November), the Reform League delegation relayed its failure to achieve any success in negotiations with the authorities. The miners resolved on open resistance to the authorities and to burn the hated licences. Local clergyman Theophilus Taylor recorded his impressions. Rede responded by ordering police to conduct a licence search on 30 November. Eight defaulters were arrested, and most of the military resources available had to be summoned to extricate the arresting officers from the angry mob that had assembled. Clergyman Taylor's account identified the rising tension. This raid prompted a change in the leadership of the Reform League, to people who argued in favour of 'physical force' rather than the 'moral force' championed by Humffray and the old leadership. Battle of the Eureka Stockade Paramilitary mobilisation and swearing allegiance to the Southern Cross In the rising tide of anger and resentment amongst the miners, a more militant leader, Peter Lalor, was elected. In swift fashion, a military structure was assembled. Brigades were formed, and captains were appointed. Licences were burnt, and on 1 December at Bakery Hill, "The disaffected miners... held a meeting where at the Australian flag of independence was solemnly consecrated and vows proffered for its defence", with the 'Eureka oath' being sworn by Peter Lalor to the affirmation of his fellow demonstrators, who encamped themselves around the flag to resist further licence hunts and harassment by the authorities: "We swear by the Southern Cross to stand truly by each other and fight to defend our rights and liberties." The white and blue Eureka Flag, said to be designed by a Canadian miner, Captain Henry Ross, and bearing nothing but the Southern Cross, was then flown for the first (recorded) occasion; according to The Ballarat Times, which first mentioned the flag a week earlier on 24 November 1854, at "about eleven o'clock the 'Southern Cross' was hoisted, and its maiden appearance was a fascinating object to behold." The flag was believed to have been sewn by Anastasia Hayes. Reportedly influenced by earlier designs such as the Australian Federation Flag, as a gesture of defiance , it deliberately excluded the British Union Flag, which is included in the official flag of Australia. The Eureka flag was commonly referred to at the time as the Australian flag, and as the Southern Cross, with The Age variously reporting, on 28 November: "The Australian flag shall triumphantly wave in the sunshine of its own blue and peerless sky, over thousands of Australia's adopted sons"; the day after the battle: "They assembled round the Australian flag, which has now a permanent flag-staff"; and during the 1855 Eureka trials, that it was sworn that the Eureka flag was also known as the "digger's flag" and also as "the Southern Cross". "Remember Vinegar Hill": Irish dimension factors in dwindling numbers at stockade The Argus newspaper of 4 December 1854 reported that the Union Jack "had" to be hoisted underneath the Eureka flag at the stockade, and that both flags were by then in the possession of the foot police. Some have questioned whether this sole contemporaneous report of the otherwise unaccounted for Union Jack being present is accurate. In defence of this alternative scenario it has been stressed that the investigating journalist may have had available eyewitness reports of the two flags having been seized, and that it was possibly an 11th hour response to the divided loyalties among the heterogeneous rebel force which was in the process of melting away (at one stage 1,500 of 17,280 men in Ballarat were present, with only 150 taking part in the battle), with Lalor's choice of password for the night of 2 December – "Vinegar Hill" – causing support for the rebellion to fall away among those who were otherwise disposed to resist the military, as word spread that the question of Irish home rule had become involved. Gregory Black, military historian and author of Eureka Stockade: A Ferocious and Bloody Battle, concedes two flags may have been flown on the day of the battle, as the miners were claiming to be defending their British rights, with a further article in The Argus on 9 December 1854, reporting that Constable Hugh King had found a Union Jack like flag being carried by a prisoner; and, according to The Eureka Encyclopedia, Sergeant John McNeil at the time shredded a flag at the Spencer Street Barracks in Melbourne, which was said to be the Eureka flag, but which may well have been a Union Jack. It is certain that Irish-born people were strongly represented at the Eureka Stockade. Eureka historians have discovered that as well as comprising most of the miners inside the stockade at the finish, the area where the defensive position was established was overwhelmingly populated by the Irish to begin with. Professor Geoffrey Blainey has advanced the view, that the white cross behind the stars on the Eureka flag "really [is] an Irish cross rather than being [a] configuration of the Southern Cross". Departing detachment of Independent Californian Rangers leaves small garrison behind During 2 December, the peak rebel force trained in and around the stockade. A further two hundred Americans, the Independent Californian Rangers, under the leadership of James McGill, arrived about 4 pm. The Americans were armed with revolvers and Mexican knives and possessed horses. In a fateful decision, McGill decided to take most of the Californian Rangers away from the stockade to intercept rumoured British reinforcements coming from Melbourne. Rede's spies observed these actions. That night many of the miners went back to their own tents after the traditional Saturday night carousing, with the assumption that the Queen's military forces would not be sent to attack on the Sabbath (Sunday). A small contingent of miners remained at the stockade overnight, which the spies reported to Rede. Stockade The stockade itself was a ramshackle affair which was hastily constructed over the following days from timber and overturned carts. The structure was never meant to be a military stockade or fortress. In the words of Lalor: "it was nothing more than an enclosure to keep our own men together, and was never erected with an eye to military defence". Lalor had already outlined a plan whereby, "if the government forces come to attack us, we should meet them on the Gravel Pits, and if compelled, we should retreat by the heights to the old Canadian Gully, and there we shall make our final stand". Siege of the Eureka Stockade By the beginning of December, the police contingent at Ballarat had been joined and surpassed in number by soldiers from British Army garrisons in Victoria, including detachments from the 12th (East Suffolk) Regiment of Foot and 40th (2nd Somersetshire) Regiment of Foot. At 3 am on Sunday, 3 December, a party of 276 soldiers and police, under the command of Captain John W. Thomas approached the Eureka Stockade and a battle ensued. There is no agreement as to which side fired first, but the battle was fierce, brief, and terribly one-sided. The ramshackle army of miners was hopelessly outclassed by a military regiment and was routed in about 10 minutes. Theophilus Taylor's account is succinct. "A company of troopers & military carried the war into the enemies camp. In a very short time numbers were shot and hundreds taken prisoner". During the height of the battle, Lalor was shot in his left arm, took refuge under some timber and was smuggled out of the stockade and hidden. His arm was later amputated. Stories tell how women ran forward and threw themselves over the injured to prevent further indiscriminate killing. The Commission of Inquiry would later say that it was "a needless as well as a ruthless sacrifice of human life indiscriminate of innocent or guilty, and after all resistance had disappeared." Early in the battle "Captain" Henry Ross was shot dead. According to Lalor's report, fourteen miners (mostly Irish) died inside the stockade and an additional eight died later from injuries they sustained. A further dozen were wounded but recovered. Three months after the Eureka Stockade, Peter Lalor wrote: "As the inhuman brutalities practised by the troops are so well known, it is unnecessary for me to repeat them. There were 34 digger casualties of which 22 died. The unusual proportion of the killed to the wounded, is owing to the butchery of the military and troopers after the surrender." During the battle, trooper John King the police constable, took down the Eureka flag. By 8 am, Captain Charles Pasley, the second in command of the British forces, sickened by the carnage, saved a group of prisoners from being bayoneted and threatened to shoot any police or soldiers who continued with the slaughter. Pasley's valuable assistance was acknowledged in despatches printed and laid before the Victorian Legislative Council. One hundred and fourteen diggers, some wounded, were marched off to the Government camp about two kilometres away, where they were kept in an overcrowded lock-up, before being moved to a more spacious barn on Monday morning. Martial law was declared throughout the camp on Monday, with no lights allowed in any tent after 8 o'clock pm. It was around this time an outbreak of gunfire reportedly occurred within the camp. Unrelated first-hand accounts state that variously, a woman, her infant child and several men were killed or wounded in an episode of indiscriminate shooting. Estimates of the death toll Of the soldiers and police, six were killed, including Captain Wise. News of the battle spread quickly to Melbourne and other gold field regions, turning a perceived Government military victory in repressing a minor insurrection into a public relations disaster. Thousands of people in Melbourne turned out to condemn the authorities, in defiance of their mayor and some Legislative Councillors, who tried to rally support for the government. In Ballarat, only one man responded to the call for special constables, although in Melbourne 1500 were sworn in and armed with batons. Many people voiced their support for the diggers' requested reforms. Exact numbers of deaths and injuries and persons are difficult to determine as many miners "fled to the surrounding bush and it is likely a good many more died a lonely death or suffered the agony of their wounds, hidden from the authorities for fear of repercussions." according to Eureka researcher and author Dr Dorothy Wickham. The official register of deaths in the Ballarat District Register shows 27 names associated with the stockade battle at Eureka. Reverend Taylor, in his account, estimated initially 100 deaths but reconsidered writing: Historian Clare Wright quotes one source, Thomas Pierson, who noted in the margin to his diary time has proved that near 60 have died of the diggers in all. According to Wright, Captain Thomas estimated that 30 diggers died on the spot and many more died of their wounds subsequently. Even the Geelong Advertiser on 8 December 1854 stated that deaths were "more numerous than originally supposed". While it has been thought all the deaths at Eureka were men, research by historian Clare Wright details that at least one woman lost her life in the massacre. Wright's research details the important role of women on the goldfields and in the reform movement. Her book Forgotten Rebels of Eureka details how Charles Evans' diary describes a funeral for a woman who was mercilessly butchered by a mounted trooper while pleading for the life of her husband during the Eureka massacre. Her name and the fate and identity of her husband remain unknown. Aftermath Historian Geoffrey Blainey has commented, "Every government in the world would probably have counter-attacked in the face of the building of the stockade." For a few weeks it appeared that the status quo had been restored, and Rede ruled the camps with an iron fist. Reverend Theophilus Taylor's observations were: His note about a 'reign of terror' proved unjustified. Sir Robert Nickle was a wise, considered and even-handed military commander who calmed the tensions. Miner and diarist Charles Evans recorded the effect of his conduct as follows: On 7 December Theophilus Taylor met with Nickle and "found him to be a very affable and kind gentleman". Trials for sedition and high treason The first trial relating to the rebellion was a charge of sedition against Henry Seekamp of the Ballarat Times. Seekamp was arrested in his newspaper office on 4 December 1854, for a series of articles that appeared in the Ballarat Times. Many of these articles were written by George Lang, the son of the prominent republican and Presbyterian Minister of Sydney, the Reverend John Dunmore Lang. He was tried and convicted of seditious libel by a Melbourne jury on 23 January 1855 and, after a series of appeals, sentenced to six months imprisonment on 23 March. He was released from prison on 28 June 1855, precisely three months early. While he was in jail, Henry Seekamp's de facto wife, Clara Seekamp took over the business, and became the first female editor of an Australian newspaper. Of the approximately 120 'diggers' detained after the rebellion, thirteen were brought to trial. They were: Timothy Hayes, Chairman of the Ballarat Reform League, from Ireland James McFie Campbell, a man of unknown African ancestry from Kingston, Jamaica Raffaello Carboni, an Italian and trusted lieutenant who was in charge of the European diggers as he spoke a few European languages. Carboni self-published his account of the Eureka Stockade a year after the Stockade, the only comprehensive eyewitness account Jacob Sorenson, a Jewish man from Scotland John Manning, a Ballarat Times journalist, from Ireland John Phelan, a friend and business partner of Peter Lalor, from Ireland Thomas Dignum, born in Sydney John Joseph, an African American from New York City or Baltimore, United States James Beattie, from Ireland William Molloy, from Ireland Jan Vennick, from the Netherlands Michael Tuohy, from Ireland Henry Reid, from Ireland The first trial started on 22 February 1855, with defendants being brought before the court on charges of high treason. Joseph was one of three Americans arrested at the stockade, with the United States Consul intervening for the release of the other two Americans. The prosecution was handled by Attorney-General William Stawell representing the Crown before Chief Justice William à Beckett. The jury deliberated for about half an hour before returning a verdict of "not guilty". "A sudden burst of applause arose in the court" reported The Argus, but was instantly checked by court officers. The Chief Justice condemned this as an attempt to influence the jury, as it could be construed that a jury could be encouraged to deliver a verdict that would receive such applause; he sentenced two men (identified by the Crown Solicitor as having applauded) to a week in prison for contempt. Over 10,000 people had come to hear the jury's verdict. John Joseph was carried around the streets of Melbourne in a chair in triumph, according to the Ballarat newspaper The Star. Under the auspices of Victorian Chief Justice Redmond Barry, all the other 13 accused men were rapidly acquitted to great public acclaim. The trials have on several occasions been called a farce. Rede himself was quietly removed from the camps and reassigned to an insignificant position in rural Victoria. Commission of Enquiry When Hotham's Royal Commission report, initiated before the conflict, was finally handed down it was scathing in its assessment of all aspects of the administration of the goldfields, and particularly the Eureka Stockade affair. According to Blainey, "It was perhaps the most generous concession offered by a governor to a major opponent in the history of Australia up to that time. The members of the commission were appointed before Eureka...they were men who were likely to be sympathetic to the diggers." The report made several major recommendations, one of which was to restrict Chinese immigration. Its recommendations were only put into effect after the Stockade. The gold licences were then abolished, and replaced by an annual miner's right and an export fee based on the value of the gold. Mining wardens replaced the gold commissioners, and police numbers were cut drastically. The Legislative Council was expanded to allow representation to the major goldfields. Peter Lalor and John Basson Humffray were elected for Ballarat, although there were property qualifications with regards to eligibility to vote in upper house elections in Victoria until the 1950s. After 12 months, all but one of the demands of the Ballarat Reform League had been granted. Lalor and Humffray both enjoyed distinguished careers as politicians, with Lalor later elected as Speaker of the Legislative Assembly of Victoria. Peter Lalor Following the battle, rebel leader, Irish Australian Peter Lalor, wrote in a statement to the colonists of Victoria, "There are two things connected with the late outbreak (Eureka) which I deeply regret. The first is, that we shouldn't have been forced to take up arms at all; and the second is, that when we were compelled to take the field in our own defence, we were unable (through want of arms, ammunition and a little organisation) to inflict on the real authors of the outbreak the punishment they so richly deserved." Lalor stood for in the 1855 elections and was elected unopposed. During a speech in the Legislative Council in 1856 he said, "I would ask these gentlemen what they mean by the term 'democracy'. Do they mean Chartism or Republicanism? If so, I never was, I am not now, nor do I ever intend to be a democrat. But if a democrat means opposition to a tyrannical press, a tyrannical people, or a tyrannical government, then I have been, I am still, and will ever remain a democrat." Political legacy The actual significance of Eureka upon Australia's politics is not decisive. It has been variously interpreted as a revolt of free men against imperial tyranny, of independent free enterprise against burdensome taxation, of labour against a privileged ruling class, or as an expression of republicanism. In his 1897 travel book Following the Equator, American writer Mark Twain wrote of the Eureka Rebellion: Raffaello Carboni, who was present at the Stockade, wrote that "amongst the foreigners ... there was no democratic feeling, but merely a spirit of resistance to the licence fee"; and he also disputes the accusations "that have branded the miners of Ballarat as disloyal to their QUEEN" (emphasis as in the original). The affair continues to raise echoes in Australian politics to the present day, and from time to time one group or another calls for the existing Australian flag to be replaced by the Eureka Flag. Some historians believe that the prominence of the event in the public record has come about because Australian history does not include a major armed rebellion phase equivalent to the French Revolution, the English Civil War, or the American War of Independence, making the Eureka story inflated well beyond its real significance. Others, however, maintain that Eureka was a seminal event and that it marked a major change in the course of Australian history. In 1980, historian Geoffrey Blainey drew attention to the fact that many miners were temporary migrants from Britain and the United States, who did not intend to settle permanently in Australia. He wrote: In 1999, the Premier of New South Wales, Bob Carr, dismissed the Eureka Stockade as a "protest without consequence". Deputy Prime Minister John Anderson made the Eureka flag a federal election campaign issue in 2004 saying "I think people have tried to make too much of the Eureka Stockade...trying to give it a credibility and standing that it probably doesn't enjoy." Former Premier of Victoria Steve Bracks cited the rebellion as an influence on his governing style, stating in 2014 that it signified the importance of equality. Commemoration The materials used to build the stockade were rapidly removed to be used for the mines, and the entire area around the site was so extensively worked that the original landscape became unrecognisable, so identifying the exact location of the stockade is now virtually impossible. A diggers' memorial was erected in the Ballarat Cemetery on 22 March 1856 near marked graves. Sculpted in stone from the Barrabool Hills by James Leggatt in Geelong it features a pillar bearing the names of the deceased miners and bearing the inscription "Sacred to the memory of those who fell on the memorable 3 December 1854, in resisting the unconstitutional proceedings of the Victorian Government." A soldiers' memorial was erected many years later in 1876 and is an obelisk constructed of limestone sourced from Waurn Ponds with the words "Victoria" and "Duty" carved in its north and south faces respectively. In 1879 a cast-iron fence was added to the memorials and graves. Over the next thirty years, press interest in the events that had taken place at the Eureka Stockade dwindled, but Eureka was kept alive at the campfires and in the pubs, and in memorial events in Ballarat. In addition, key figures such as Lalor and Humfray were still in the public eye. Eureka had not been forgotten: it was readily remembered. Similar flags have been flown at rebellions since including a flag similar to the Eureka flag which was flown above the Barcaldine strike camp in the 1891 Australian shearers' strike. In 1889, Melbourne businessmen employed renowned American cyclorama artist Thaddeus Welch, who teamed up with local artist Izett Watson to paint of canvas of the Eureka Stockade, wrapped around a wooden structure. When it opened in Melbourne, the exhibition was an instant hit. The Age reported in 1891 that "it afforded a very good opportunity for people to see what it might have been like at Eureka". The Australasian wrote "that many persons familiar with the incidents depicted, were able to testify to the fidelity of the painted scene". The people of Melbourne flocked to the cyclorama, paid up and had their picture taken before it. It was eventually dismantled and disappeared from sight. Memorials to soldiers and miners are located in the Ballaarat Old Cemetery and the Eureka Stockade Memorial is located within the Eureka Stockade Gardens and is listed on the Australian National Heritage List. In 1954, the centenary of the event was officially celebrated; according to Geoffrey Blainey, who was in attendance, no one, apart from a small group of communists, was there. Plays commemorating the events were held at major theatres. A purpose built Interpretation centre was erected in 1998 in suburb of Eureka near the site of the stockade. Designed to be a new landmark for Ballarat, the building featured an enormous sail emblazoned with the Eureka Flag. Before its development there was considerable debate over whether a replica or reconstruction of wooden structures was appropriate, however it was eventually decided against and this is seen by many as a reason for the apparent failure of the centre to draw significant tourist numbers. Due primarily to falling visitor numbers the centre was redeveloped between 2009 and 2011. In 1992, Sovereign Hill commenced a commemorative son et lumière known as "Blood Under the Southern Cross" which became a tourist drawcard and was revised and expanded from 2003. In 2004, the 150th anniversary was celebrated. An Australian postage stamp featuring the Eureka Flag was released along with a set of commemorative coins. A ceremony in Ballarat known as the lantern walk was held at dawn. However, Prime Minister John Howard did not attend any commemorative events, and refused to allow the flag to fly over Parliament House. In November 2004 then Premier of Victoria Steve Bracks announced that the Ballarat V/Line rail service would be renamed the Eureka Line to mark the 150th anniversary to take effect from late 2005 at the same time as a renaming of Spencer Street station to Southern Cross, however the proposal was criticised by community groups including the Public Transport Users Association. Renaming of the line did not go ahead, however Spencer Street (railway) Station did become Southern Cross Station on 13 December 2005 with Bracks stating the name would resonate with Victorians because it "stands for democracy and freedom because it flew over the Eureka Stockade". Eureka Tower, completed in 2006 is named in honour of the event and features symbolic aspects in its design including an architectural red stripe representing the blood spilled during the battle. The site of the Eureka Stockade in Ballarat is currently being redeveloped with the support of grants from the City of Ballarat and the Victorian and Federal Governments. It will feature the new Museum of Australian Democracy at Eureka (M.A.D.E) that will draw on the touchstone of Eureka and its newly restored flag, and put the Eureka Stockade into the context of 260 years of democracy. M.A.D.E.'s highly interactive exhibition, based on the premise of People + Power = Democracy, is expected to open in early 2013, followed by a national rollout of public onsite and online programs. Deputy Premier, the Hon. Peter Ryan, told the Legislative Assembly, sitting in Ballarat in 2012, that M.A.D.E. would be "a magnificent tribute to the events" of the Eureka Stockade. The Museum's M.A.D.E. You Look booklet says M.A.D.E will be 'an online platform and immersive museum with a refreshing approach to culture, civics, history and citizenship. M.A.D.E puts the past into a contemporary context, celebrates Australia's achievements and inspires new ways of thinking about issues like equality, freedom of speech, parliamentary representation and the rule of law'. The museum 'will ignite debate about what it means to be an effective Australian in the 21st Century'. Popular culture Literature The Eureka Stockade is referenced in several poems by Henry Lawson including "Flag of the Southern Cross" (1887), "Eureka (A Fragment)" (1889), "The Fight at Eureka Stockade" (1890), and "Freedom on the Wallaby" (1891). The original version of Marcus Clarke's classic novel, His Natural Life, serialised in the Australian Journal between 1870 and 1872, includes a fictionalised account of the Eureka rebellion. Film and television Eureka Stockade (1907), directed by Arthur and George Cornwell and produced by the Australasian Cinematograph Company, was the second feature film made in Australia (the first being the 1906 production, The Story of the Kelly Gang). The film was first screened on 19 October 1907 at the Melbourne Athenaeum. The film impressed critics of the time and was found to be a stirring portrayal of the events surrounding the Eureka Stockade, but failed to connect with audiences during the two weeks it was screened. The surviving seven-minute fragment (stored at the National Film and Sound Archive) shows street scenes of Ballarat. Other scenes in the lost reels of the film were believed to have included gold seekers leaving London, issuing of licences, licence hunting, diggers chained to logs and rescued by mates, diggers burning Bentley's Hotel, the Rebellion, building the stockade, troops storming the stockade and the stockade in ruins. The Loyal Rebel, also known as Eureka Stockade, is an Australian silent film made in 1915. Directed by Alfred Rolfe, it starred Maisie Carte, Wynn Davies, Reynolds Denniston, Charles Villiers, Percy Walshe, Jena Williams, and Leslie Victor as Peter Lalor. It is considered a lost film. A 1949 British film, titled Eureka Stockade (released in the United States as Massacre Hill), was shot in Australia. The film starred Chips Rafferty as Peter Lalor, and Peter Illing as Raffaello Carboni. It was directed by Harry Watt, produced by Leslie Norman and written by Walter Greenwood, Ralph Smart and Harry Watt. Stockade, a 1971 Australian musical film featuring Rod Mullinar as Peter Lalor, was directed by Hans Pomeranz and Ross McGregor. The film was written by Kenneth Cook, adapted from his musical play. Eureka Stockade was a two-part television mini-series which aired on the Seven Network in 1984. starring Bryan Brown as Peter Lalor. Directed by Rod Hardy, produced by Henry Crawford and written by Tom Hegarty. The cast included Carol Burns, Bill Hunter and Brett Cullen. Riot or Revolution: Eureka Stockade 1854, an Australian documentary from 2006, directed by Don Parham. The film focuses mainly on Governor Sir Charles Hotham (played by Brian Lipson), Raffaello Carboni (Barry Kay), and Douglas Huyghue (Tim Robertson). The accounts of these eyewitnesses are the main source for the monologues directly aimed at the audience, and, as the caption at the start of the film says: "the lines spoken by actors in this film are the documented words of the historical characters." The cast also included Julia Zemiro as Celeste de Chabrillan and Andrew Larkins as Peter Lalor. It was filmed in Ballarat and Toorak House in Melbourne. Stage Stockade, a musical play by Kenneth Cook and Patricia Cook, was first performed at Sydney's Independent Theatre in 1971. It was the basis for the film Stockade. Carboni is a dramatisation by John Romeril of Raffaello Carboni's eyewitness account of the Eureka Rebellion. It was first performed in 1980 by the Australian Performing Group at the Pram Factory in Melbourne, with Bruce Spence in the title role. Eureka Stockade, a three-act opera with music by Roberto Hazon and a libretto by John Picton-Warlow and Carlo Stransky, was completed in 1988. The musical Eureka premiered in Melbourne in 2004 at Her Majesty's Theatre. With music by Michael Maurice Harvey, book and lyrics by Gale Edwards and John Senczuk and original book and lyrics by Maggie May Gordon, Eureka was nominated for the Helpmann Award for Best Musical in 2005. See also Flag of Australia Eureka Flag History of Victoria Butler Cole Aspinall, one of the defence counsel Darwin Rebellion References Bibliography The Eureka Stockade by Raffaello Carboni (1855). Title from Project Gutenberg Diary of Charles Evans, 1853 September 24 -1855 January 21 (formerly known as the 'Samuel Lazarus Diary'). State Library of Victoria. Bert and Bon Strange, Eureka, Gold Graft and Grievances, B&B Strange, Ballarat, 1973. Weston Bate, Lucky City: The First Generation at Ballarat 1851–1901, Melbourne University Press, Melbourne, 1978, page 67. Peter Lalor, A Statement to the Colonists of Victoria, reprinted in Bob O’Brien, Massacre at Eureka: The Untold Story, Sovereign Hill Museums Association, 1998. Professor Geoffrey Blainey, Eureka – its many meanings, University of Ballarat, 26 November 2004. Papers of Theophilus Taylor, 1846-1856 (manuscript) State Library of Victoria External links Eurekapedia Victorian Archives of the Eureka Stockade The Museum of Australian Democracy at Eureka (M.A.D.E), formerly The Eureka Centre Overpainted photograph of the 1891 Euraka Stockade cyclorama Images and video of Eureka from the Public Records Office Victoria Eureka Stockade The Eureka Flag, 1854 NSW Migration Heritage Centre statement of historical significance 1854 in Australia 1855 in Australia 1854 riots 1850s in Victoria (Australia) 19th-century rebellions 19th-century reform movements Australian folklore Chartism Conflicts in 1854 December 1854 events History of Australia (1851–1900) History of Ballarat History of Victoria (Australia) Political history of Australia Protests in Australia Rebellions against the British Empire Rebellions in Australia Resistance to colonialism in Australia Riots and civil disorder in Victoria (Australia)
9835
https://en.wikipedia.org/wiki/Escape%20from%20New%20York
Escape from New York
Escape from New York is a 1981 American science fiction action film co-written, co-scored and directed by John Carpenter. It stars Kurt Russell, Lee Van Cleef, Donald Pleasence, Ernest Borgnine, Isaac Hayes, Adrienne Barbeau, and Harry Dean Stanton. The film's storyline, set in the near-future world of 1997, concerns a crime-ridden United States, which has converted Manhattan Island in New York City into the country's maximum-security prison. Air Force One is hijacked by insurgents and is deliberately crashed in New York City. Ex-soldier and current federal prisoner Snake Plissken (Russell) is given just 24 hours to go in and rescue the President of the United States, after which, if successful, Snake will be pardoned. Carpenter wrote the film in the mid-1970s in reaction to the Watergate scandal. After the success of Halloween (1978), he had enough influence to begin production and filmed it mainly in St. Louis, Missouri, on an estimated budget of $6 million. Debra Hill and Larry J. Franco served as the producers. The film was co-written by Nick Castle, who had collaborated with Carpenter by portraying Michael Myers in Halloween. Released in the United States on July 10, 1981, the film received positive reviews from critics and was a commercial success, grossing more than $25.2 million at the box office. The film was nominated for four Saturn Awards, including Best Science Fiction Film and Best Direction. The film became a cult classic and was followed by a sequel, Escape from L.A. (1996), which was also directed and written by Carpenter and starred Russell, but was much less favorably received. Plot In a dystopian 1988, amidst total war against China and the Soviet Union, the United States government has turned Manhattan into a giant maximum-security prison to deal with a 400% increase in crime. A wall surrounds the island, bridges have been mined, rivers are patrolled by helicopters, and all prisoners are sentenced to life terms. In 1997, while flying the President of the United States John Harker to a peace summit in Hartford, Connecticut, Air Force One is hijacked by a guerrilla fighter of the "National Liberation Front", named in reference to the Viet Cong. The President is given a tracking bracelet and is handcuffed to his briefcase before being escorted to an escape pod. The aircraft crashes but the pod survives. Police are dispatched to rescue the President. Romero, the right-hand man of the Duke of New York, the overall crime boss, warns that the President has been captured and will be killed if any further rescue attempts are made. Meanwhile, former Special Forces soldier Snake Plissken is about to be sent into Manhattan after being convicted of robbing the Federal Reserve. Police Commissioner Bob Hauk offers a deal to Snake: if he rescues the President in time for the summit, Hauk will arrange a full presidential pardon. To keep Snake from going rogue, Hauk has him injected with micro-explosives that will sever his carotid arteries in 22 hours. If Snake is successful, Hauk will neutralize the explosives. Using a stealth glider to land atop the World Trade Center, Snake follows the tracking bracelet to a vaudeville theater, only to find it on the wrist of a deluded old man. Convinced the President is dead, Snake radios Hauk but is told that he will be shot down if he returns without the President. Snake meets "Cabbie" who drives an armored taxi that takes Snake to Harold "Brain" Hellman, an adviser to the Duke and a former associate of Snake. Brain, a brilliant engineer, has established an oil well and a small refinery, fueling the city's remaining cars, and tells Snake that the Duke plans to lead a mass escape across the Queensboro Bridge by using the President as a human shield and following a landmine map that Brain has drawn up. Snake forces Brain and his girlfriend Maggie to lead him to the Duke's hideout at Grand Central Terminal. Snake finds the President but is captured. While Snake is forced to fight in a deathmatch against "Slag", Brain and Maggie kill Romero and flee with the President. Snake kills Slag and finds Brain, Maggie, and the President at the top of the World Trade Center trying to escape in the glider. After a band of inmates pushes it off the building, destroying it, the group returns to street level and encounters Cabbie, who offers to take them across the bridge. Cabbie reveals that he bartered with Romero for the contents of the briefcase; a cassette tape which contains information about nuclear fusion, intended to be an international peace offering. The President demands the tape, but Snake claims it. The Duke pursues them onto the bridge in his customized Cadillac, setting off mines as he tries to catch up. Brain guides Snake, but they hit a mine, and Cabbie is killed. As they continue on foot, Brain is killed by another mine. Maggie refuses to leave him, shooting at Duke's car until she is run down. Snake and the President reach the containment wall, and guards hoist the President up. The Duke opens fire, killing the guards before Snake subdues him; he attempts to shoot Snake as he is being lifted up by the rope, but the President opens fire on the Duke with a dead guard's assault rifle, violently killing him, before the President finishes lifting Snake. Hauk's doctor saves Snake's life with just seconds to spare. As the President prepares for a televised speech to the leaders at the summit meeting, he thanks Snake and tells him that he can have anything he wants. All Snake wants to know is how the President feels about the people who died saving him. The President offers only half-hearted regret and lip service for their sacrifice; Snake walks away disgusted. An impressed Hauk offers him a job as his deputy, but Snake just keeps walking. The President's live speech commences, and he plays the cassette tape. To his embarrassment, it only plays Cabbie's favorite song, "Bandstand Boogie". As Snake walks away, he intentionally tears the magnetic tape out of the cassette reel, destroying the actual message that was intended to be delivered by the President. Cast In addition, frequent Carpenter collaborators Nancy Stephens appeared as the Stewardess / Hijacker and George Buck Flower appeared as the Drunk with the president's tracker, respectively, while then-active professional wrestler Ox Baker played 'Slag'. The narrator was voiced by Jamie Lee Curtis. Actor Joe Unger filmed scenes as Snake's partner-in-crime Bill Taylor, but they were cut from the final film. Production Development and writing Carpenter originally wrote the screenplay for Escape from New York in 1976, in the aftermath of Nixon's Watergate scandal. Carpenter said, "The whole feeling of the nation was one of real cynicism about the president." He wrote the screenplay, but no studio wanted to make it because, according to Carpenter, "[i]t was too violent, too scary, [and] too weird". He had been inspired by the film Death Wish, which was very popular at the time. He did not agree with this film's philosophy, but liked how it conveyed "the sense of New York as a kind of jungle, and I wanted to make a science-fiction film along these lines". International Film Investors agreed to provide 50% of the budget, and Goldcrest Films signed a co-financing deal with them. They ended up providing £720,000 of the budget and making a profit of £672,000 from their investment after earning £1,392,000. Casting AVCO Embassy Pictures, the film's financial backer, preferred either Charles Bronson or Tommy Lee Jones to play the role of Snake Plissken to Carpenter's choice of Kurt Russell, who was trying to overcome the "lightweight" screen image conveyed by his roles in several Disney comedies. Carpenter refused to cast Bronson on the grounds that he was too old, and because he worried that he could lose directorial control over the picture with an experienced actor. At the time, Russell described his character as "a mercenary, and his style of fighting is a combination of Bruce Lee, The Exterminator, and Darth Vader, with Eastwood's vocal-ness." All that matters to Snake, according to the actor, is "the next 60 seconds. Living for exactly that next minute is all there is." Russell used a rigorous diet and exercise program to develop a lean and muscular build. He also endeavored to stay in character between takes and throughout the shooting, as he welcomed the opportunity to get away from the Disney comedies he had done previously. He did find it necessary to remove the eyepatch between takes, as wearing it constantly seriously affected his depth perception. Pre-production Carpenter had just made Dark Star, but no one wanted to hire him as a director, so he assumed he would make it in Hollywood as a screenwriter. The filmmaker went on to do other films with the intention of making Escape later. After the success of Halloween, Avco-Embassy signed producer Debra Hill and him to a two-picture deal. The first film from this contract was The Fog. Initially, the second film he was going to make to finish the contract was The Philadelphia Experiment, but because of script-writing problems, Carpenter rejected it in favor of this project. However, Carpenter felt something was missing and recalls, "This was basically a straight action film. And at one point, I realized it really doesn't have this kind of crazy humor that people from New York would expect to see." He brought in Nick Castle, a friend from his film-school days at University of Southern California, who played "The Shape" in Halloween. Castle invented the Cabbie character and came up with the film's ending. The film's setting proved to be a potential problem for Carpenter, who needed to create a decaying, semi-destroyed version of New York City on a shoestring budget. The film's production designer Joe Alves and he rejected shooting on location in New York City because it would be too hard to make it look like a destroyed city. Carpenter suggested shooting on a movie back lot, but Alves nixed that idea "because the texture of a real street is not like a back lot." They sent Barry Bernardi, their location manager (and associate producer), "on a sort of all-expense-paid trip across the country looking for the worst city in America," producer Debra Hill remembers. Bernardi suggested East St. Louis, Illinois because it was filled with old buildings "that exist in New York now, and [that] have that seedy run-down quality" that the team was looking for. East St. Louis, sitting across the Mississippi River from the more prosperous St. Louis, Missouri, had entire neighborhoods burned out in 1976 during a massive urban fire. Hill said in an interview, "block after block was burnt-out rubble. In some places, there was absolutely nothing, so that you could see three and four blocks away." Also, Alves found an old bridge to double for the "69th St. Bridge". The filmmaker purchased the Old Chain of Rocks Bridge for one dollar from the government and then gave it back to them, for the same amount, once production was completed, "so that they wouldn't have any liability," Hill remembers. Locations across the river in St. Louis were used, including Union Station and the Fox Theatre, both of which have since been renovated, as well as the building that would eventually become the Schlafly Tap Room microbrewery. Filming Carpenter and his crew persuaded the city to shut off the electricity to 10 blocks at a time at night. The film was shot from August to November 1980. It was a tough and demanding shoot for the filmmaker as he recalls. "We'd finish shooting at about 6 am and I'd just be going to sleep at 7 when the sun would be coming up. I'd wake up around 5 or 6 pm, depending on whether or not we had dailies, and by the time I got going, the sun would be setting. So for about two and a half months I never saw daylight, which was really strange." The gladiatorial fight to the death scene between Snake and Slag (played by professional wrestler Ox Baker) was filmed in the Grand Hall at St. Louis Union Station. Russell has stated, "That day was a nightmare. All I did was swing a [spiked] bat at that guy and get swung at in return. He threw a trash can in my face about five times ... I could have wound up in pretty bad shape." In addition to shooting on location in St. Louis, Carpenter shot parts of the film in Los Angeles. Various interior scenes were shot on a sound stage; the final scenes were shot at the Sepulveda Dam, in Sherman Oaks. New York served as a location, as did Atlanta, to use their futuristic-looking rapid-transit system (the latter scenes were cut from the final film). In New York City, Carpenter persuaded federal officials to grant access to Liberty Island. "We were the first film company in history allowed to shoot on Liberty Island at the Statue of Liberty at night. They let us have the whole island to ourselves. We were lucky. It wasn't easy to get that initial permission. They'd had a bombing three months earlier and were worried about trouble". Carpenter was interested in creating two distinct looks for the movie. "One is the police state, high tech, lots of neon, a United States dominated by underground computers. That was easy to shoot compared to the Manhattan Island prison sequences, which had few lights, mainly torch lights, like feudal England". Certain matte paintings were rendered by James Cameron, who was at the time a special-effects artist with Roger Corman's New World Pictures. Cameron was also one of the directors of photography on the film. As Snake pilots the glider into the city, three screens on his control panel display wireframe animations of the landing target on the World Trade Center and surrounding buildings. Carpenter wanted high-tech computer graphics, which were very expensive, even for such a simple animation. The effects crew filmed the miniature model set of New York City they used for other scenes under black light, with reflective tape placed along every edge of the model buildings. Only the tape is visible and appears to be a three-dimensional wireframe animation. Music Soundtrack Release Home media LaserDisc releases Escape from New York was released on LaserDisc 10 times between 1983 and 1998. A 1994 Collector's Edition includes a commentary track by John Carpenter and Kurt Russell that is still included on more recent DVD releases of the film. DVD releases Escape from New York was released on DVD twice by MGM (USA), and once by Momentum Pictures (UK). One MGM release is a barebones edition containing just the theatrical trailer. Another version is the Collector's Edition, a two-disc set featuring a high definition remastered transfer with a 5.1 stereo audio track, two commentaries (one by John Carpenter and Kurt Russell, another by producer Debra Hill and Joe Alves), a making-of featurette, the first issue of a comic book series titled John Carpenter's Snake Plissken Chronicles, and the 10-minute Colorado bank robbery deleted opening sequence. MGM's special edition of the 1981 film was not released until 2003 because the original negative had gone missing. The workprint containing deleted scenes finally turned up in the Hutchinson, Kansas, salt-mine film depository. The excised scenes feature Snake Plissken robbing a bank, introducing the character of Plissken and establishing a backstory. Director John Carpenter decided to add the original scenes into the special edition release as an extra only: "After we screened the rough cut, we realized that the movie didn't really start until Snake got to New York. It wasn't necessary to show what sent him there." The film has been released on the UMD format for Sony's PlayStation Portable. Blu-ray release On August 3, 2010, MGM Home Entertainment released Escape From New York as a bare-bones Blu-ray. Scream Factory, in association with Shout! Factory, released the film on a special edition Blu-ray on April 21, 2015. Reception and legacy Box office Escape from New York opened in New York and Los Angeles July 10, 1981. The film grossed $25.2 million in American theaters in summer 1981. Critical response The film received generally positive reviews. Newsweek magazine wrote of Carpenter: "[He has a] deeply ingrained B-movie sensibility – which is both his strength and limitation. He does clean work, but settles for too little. He uses Russell well, however". In Time magazine, Richard Corliss wrote, "John Carpenter is offering this summer's moviegoers a rare opportunity: to escape from the air-conditioned torpor of ordinary entertainment into the hothouse humidity of their own paranoia. It's a trip worth taking". Vincent Canby, in his review for The New York Times, wrote, "[The film] is not to be analyzed too solemnly, though. It's a toughly told, very tall tale, one of the best escape (and escapist) movies of the season". On the other hand, in his negative review for the Chicago Reader, critic Dave Kehr, wrote "it fails to satisfy – it gives us too little of too much". Christopher John reviewed Escape from New York in Ares Magazine #10 and commented that "It is solid summer entertainment of unusually high caliber. By not pretending to be more than it is, but by also not settling for any less than it could be, Escape becomes an exciting, fast-moving drama, the likes of which we haven't seen in years." On Rotten Tomatoes it received an 86% positive rating based on reviews from 66 critics, with an average score of 7.20/10. The site's critical consensus was: "Featuring an atmospherically grimy futuristic metropolis, Escape from New York is a strange, entertaining jumble of thrilling action and oddball weirdness". On Metacritic it has a score of 76% based on reviews from 12 critics, indicating "generally favorable reviews". Cyberpunk pioneer William Gibson credits the film as an influence on his 1984 science fiction novel Neuromancer. "I was intrigued by the exchange in one of the opening scenes where the Warden says to Snake 'You flew the Gullfire over Leningrad, didn't you?' It turns out to be just a throwaway line, but for a moment it worked like the best SF where a casual reference can imply a lot". Popular video game director Hideo Kojima has referred to the film frequently as an influence on his work, in particular the Metal Gear series. Solid Snake is partially influenced by the character Snake Plissken. In Metal Gear Solid 2: Sons of Liberty Snake uses the alias "Pliskin" to hide his real identity during most of the game. J. J. Abrams, producer of the 2008 film Cloverfield, mentioned that a scene in his film, which shows the head of the Statue of Liberty crashing into a New York street, was inspired by the poster for Escape from New York. Empire magazine ranked Snake Plissken #29 in their "The 100 Greatest Movie Characters" poll. Other media Sequel A sequel, Escape from L.A., was released in 1996, with Carpenter returning along with Russell, now also acting as producer and co-writer. Remake In March 2017, it was announced that Robert Rodriguez would direct a remake of the film with Carpenter producing it. In February 2019, it was reported that Leigh Whannell will be writing the script after Luther creator Neil Cross completed a recent iteration of the project. Book Screen Rant announced the publication a new book on the making of the film by John Walsh entitled, Escape From New York: The Official Story of the Film to be published on September 28, 2021 by Titan Books. Novelization In 1981, Bantam Books published a movie tie-in novelization written by Mike McQuay that adopts a lean, humorous style reminiscent of the film. The novel includes significant scenes that were cut from the film, such as the Federal Reserve Depository robbery that results in Snake's incarceration. The novel provides background on the relationship between Snake and Hauk—presenting the characters as disillusioned war veterans, and deepening the relationship that was only hinted in the film. The novel also explains how Snake lost his eye during the Battle for Leningrad in World War III, how Hauk became warden of New York, and Hauk's quest to find his crazed son, who lives somewhere in the prison. The novel gives greater detail on the world in which these characters live, at times presenting a future even bleaker than the one depicted in the film. It explains that the West Coast is a no-man's land, and the nation's population is gradually being driven insane by nerve gas as a result of World War III. The novel also clarifies that the president's plan for the cassette tape is not benevolent. Rather than presenting to the world a new energy source in the form of nuclear fusion (as claimed in the film), the tape actually reveals the successful development of a "fallout-free thermonuclear weapon, which would grant the US supremacy in the global conflict. Comic books Marvel Comics released the one-shot The Adventures of Snake Plissken in January 1997. The story takes place sometime between Escape from New York and before his famous Cleveland escape mentioned in Escape from L.A. Snake has robbed Atlanta's Centers for Disease Control of some engineered metaviruses and is looking for buyers in Chicago. Finding himself in a deal that is really a set-up, he makes his getaway and exacts revenge on the buyer for ratting him out to the United States Police Force. In the meantime, a government lab has built a robot called ATACS (Autonomous Tracking And Combat System) that can catch criminals by imprinting their personalities upon its program to predict and anticipate a specific criminal's every move. The robot's first test subject is America's public enemy number one, Snake Plissken. After a brief battle, the tide turns when ATACS copies Snake to the point of fully becoming his personality. Now recognizing the government as the enemy, ATACS sides with Snake. Unamused, Snake sucker punches the machine and destroys it. As ATACS shuts down, it can only ask him, "Why?" Snake just walks off, answering, "I don't need the competition". In 2003, CrossGen published John Carpenter's Snake Plissken Chronicles, a four-part comic book miniseries. The story takes place a day or so after the events of Escape from New York. Snake has been given a military Humvee after his presidential pardon and makes his way to Atlantic City. Although the director's cut of Escape from New York shows Snake was caught after a bank job, this story has Snake finishing up a second heist that was planned before his capture. The job entails stealing the car in which John F. Kennedy was assassinated from a casino before delivering it to a buyer in the Gulf of Mexico. Snake partners with a man named Marrs who ends up double-crossing him. Left for dead in a sinking crab cage, Snake escapes and is saved by a passing fisherman named Captain Ron (an in-joke referring to Kurt Russell's 1992 comedy, Captain Ron). When Ron denies Snake's request to use his boat to beat Marrs to the robbery, Snake decides to kill him. When Snake ends up saving Ron from the Russian mob, who wants money, Ron changes his mind and helps Snake. Once at the casino, Snake comes face-to-face with Marrs and his men, who arrive at the same time, ending in a high-speed shootout. Snake gets away with the car and its actress portraying Jackie Kennedy, leaving Marrs to be caught by the casino owner, who cuts him a deal to bring his car back and live. After some trouble, Snake manages to finally get the car to the buyer's yacht, using Ron's boat, and is then attacked by Marrs. Following the firefight, the yacht and car are destroyed, Marrs and Captain Ron are dead, and Snake makes his escape in a helicopter with the 30 million credits owed to him for the job. In 2014, BOOM! Studios began publishing an Escape from New York comic book by writer, Christopher Sebela. The first issue of the series was released on December 3, 2014, and the story picks up moments after the end of the film. BOOM! released a crossover comics miniseries between Snake and Jack Burton titled Big Trouble in Little China / Escape from New York in October 2016. Board game An Escape from New York board game was released in 1981 by TSR, Inc. Cancelled anime In 2003, Carpenter was planning an anime spin-off of Escape from New York, with Outlaw Stars Mitsuru Hongo slated to direct. References External links Escape from New York at John Carpenter's official website 1981 films 1980s dystopian films American films 1980s English-language films 1980s science fiction action films American independent films American science fiction action films American dystopian films Embassy Pictures films Films about fictional presidents of the United States Films directed by John Carpenter Films produced by Debra Hill Films scored by John Carpenter Films set in 1988 Films set in 1997 Films set in the future Films set in New York City Films shot in Atlanta Films shot in Los Angeles Films shot in Missouri Films shot in New York City Films shot in St. Louis Films with screenplays by John Carpenter Goldcrest Films films Snake Plissken Chronicles American exploitation films StudioCanal films Urban survival films Films about Air Force One
9926
https://en.wikipedia.org/wiki/ETA%20%28separatist%20group%29
ETA (separatist group)
ETA, an acronym for Euskadi Ta Askatasuna ("Basque Homeland and Liberty" or "Basque Country and Freedom"), was an armed Basque nationalist and separatist organization in the Basque Country (in northern Spain and southwestern France). The group was founded in 1959 and later evolved from a group promoting traditional Basque culture to a paramilitary group engaged in a violent campaign of bombing, assassinations, and kidnappings in the Southern Basque Country and throughout Spanish territory. Its goal was gaining independence for the Basque Country. ETA was the main group within the Basque National Liberation Movement and was the most important Basque participant in the Basque conflict. Between 1968 and 2010, it killed 829 people (including 340 civilians) and injured thousands more. ETA was classified as a terrorist group by Spain, France, the United Kingdom, the United States, Canada and the European Union. This convention was followed by a plurality of domestic and international media, which also referred to the group as terrorists. There are more than 260 imprisoned former members of the group in Spain, France, and other countries. ETA declared ceasefires in 1989, 1996, 1998 and 2006. On 5 September 2010, ETA declared a new ceasefire that remained in force, and on 20 October 2011, ETA announced a "definitive cessation of its armed activity". On 24 November 2012, it was reported that the group was ready to negotiate a "definitive end" to its operations and disband completely. The group announced on 7 April 2017 that it had given up all its weapons and explosives. On 2 May 2018, ETA made public a letter dated to 16 April 2018 according to which it had "completely dissolved all its structures and ended its political initiative". ETA's motto was ("Keep up on both"), referring to the two figures in its symbol, a snake (representing politics) wrapped around an axe (representing armed struggle). Structure ETA changed its internal structure on several occasions, commonly for security reasons. The group used to have a very hierarchical organization with a leading figure at the top, delegating into three substructures: the logistical, military and political sections. Reports from Spanish and French police point towards significant changes in ETA's structures in its later years. ETA divided the three substructures into a total of eleven. The change was a response to captures, and possible infiltration, by the different law enforcement agencies. ETA intended to disperse its members and reduce the effects of detentions. The leading committee comprised 7 to 11 individuals, and ETA's internal documentation referred to it as , an abbreviation of (directorial committee). There was another committee named that functioned as an advisory committee. The eleven different substructures were: logistics, politics, international relations with fraternal organisations, military operations, reserves, prisoner support, expropriation, information, recruitment, negotiation, and treasury. ETA's armed operations were organized in different s (groups or commandos), generally composed of three to five members, whose objective was to conduct attacks in a specific geographic zone. The s were coordinated by the ("military cupola"). To supply the s, support groups maintained safe houses and (small rooms concealed in forests, garrets or underground, used to store arms, explosives or, sometimes, kidnapped people; the Basque word literally means "hole"). The small cellars used to hide the people kidnapped are named by ETA and ETA's supporters "people's jails". The most common commandos were itinerant, not linked to any specific area, and thus were more difficult to capture. Among its members, ETA distinguished between / ("legal ones"), those members who did not have police records and lived apparently normal lives; ("liberated") members known to the police that were on ETA's payroll and working full-time for ETA; and ("supports") who just gave occasional help and logistics support to the group when required. There were also imprisoned members of the group, serving time scattered across Spain and France, that sometimes still had significant influence inside the organisation; and finally the ("burnt out"), members freed after having been imprisoned or those that were suspected by the group of being under police vigilance. In the past, there was also the figure of the deportees, expelled by the French government to remote countries where they lived freely. ETA's internal bulletin was named ("Column"), replacing the earlier one (1962) ("Standing"). ETA also promoted the ("street fight"), that is, violent acts against public transportation, political parties' offices or cultural buildings, destruction of private property of politicians, police, military, bank offices, journalists, council members, and anyone voicing criticism against ETA. Tactics included threats, graffiti of political mottoes, and rioting, usually using Molotov cocktails. These groups were mostly made up of young people, who were directed through youth organisations (such as , and ). Many members of ETA started their collaboration with the group as participants in the . Political support The former political party Batasuna, disbanded in 2003, pursued the same political goals as ETA and did not condemn ETA's use of violence. Formerly known as Euskal Herritarrok and "Herri Batasuna", it was banned by the Spanish Supreme Court as an anti-democratic organisation following the Political Parties Law (Ley de Partidos Políticos). It generally received 10% to 20% of the vote in the Basque Autonomous Community. Batasuna's political status was controversial. It was considered to be the political wing of ETA. Moreover, after the investigations on the nature of the relationship between Batasuna and ETA by Judge Baltasar Garzón, who suspended the activities of the political organisation and ordered police to shut down its headquarters, the Supreme Court of Spain finally declared Batasuna illegal on 18 March 2003. The court considered proven that Batasuna had links with ETA and that it constituted in fact part of ETA's structure. In 2003, the Constitutional Tribunal upheld the legality of the law. However, the party itself denied being the political wing of ETA, although double membership – simultaneous or alternative – between Batasuna and ETA was often recorded, such as with the cases of prominent Batasuna leaders like Josu Ternera, Arnaldo Otegi, Jon Salaberria and others. The Spanish Cortes (the Spanish Parliament) began the process of declaring the party illegal in August 2002 by issuing a bill entitled the Ley de Partidos Políticos which bars political parties that use violence to achieve political goals, promote hatred against different groups or seek to destroy the democratic system. The bill passed the Cortes with a 304 to 16 vote. Many within the Basque nationalistic movement strongly disputed the Law, which they considered too draconian or even unconstitutional; alleging that any party could be made illegal almost by choice, simply for not clearly stating their opposition to an attack. Defenders of the law argued that the Ley de Partidos did not necessarily require responses to individual acts of violence, but rather a declaration of principles explicitly rejecting violence as a means of achieving political goals. Defenders also argued that the ban of a political party is subject to judicial process, with all the guarantees of the State of Law. Batasuna had failed to produce such a statement. other political parties linked to organizations such as Partido Comunista de España (reconstituted) have also been declared illegal, and Acción Nacionalista Vasca and Communist Party of the Basque Lands (EHAK/PCTV, Euskal Herrialdeetako Alderdi Komunista/Partido Comunista de las Tierras Vascas) was declared illegal in September 2008. A new party called Aukera Guztiak (All the Options) was formed expressly for the elections to the Basque Parliament of April 2005. Its supporters claimed no heritage from Batasuna, asserting that they aimed to allow Basque citizens to freely express their political ideas, even those of independence. On the matter of political violence, Aukera Guztiak stated their right not to condemn some kinds of violence more than others if they did not see fit (in this regard, the Basque National Liberation Movement (MLNV) regards present police actions as violence, torture and state terrorism). Nevertheless, most of their members and certainly most of their leadership were former Batasuna supporters or affiliates. The Spanish Supreme Court unanimously considered the party to be a successor to Batasuna and declared a ban on it. After Aukera Guztiak had been banned, and less than two weeks before the election, another political group appeared born from an earlier schism from Herri Batasuna, the Communist Party of the Basque Lands (EHAK/PCTV, Euskal Herrialdeetako Alderdi Komunista/Partido Comunista de las Tierras Vascas), a formerly unknown political party which had no representation in the Autonomous Basque Parliament. EHAK announced that they would apply the votes they obtained to sustain the political programme of the now-banned Aukera Guztiak platform. This move left no time for the Spanish courts to investigate EHAK in compliance with the Ley de Partidos before the elections were held. The bulk of Batasuna supporters voted in this election for PCTV. It obtained 9 seats of 75 (12.44% of votes) in the Basque Parliament. The election of EHAK representatives eventually allowed the programme of the now-illegal Batasuna to continue being represented without having condemned violence as required by the Ley de Partidos. In February 2011, Sortu, a party described as "the new Batasuna", was launched. Unlike predecessor parties, Sortu explicitly rejects politically motivated violence, including that of ETA. However, on 23 March 2011, the Spanish Supreme Court banned Sortu from registering as a political party on the grounds that it was linked to ETA. Social support The Spanish transition to democracy from 1975 on and ETA's progressive radicalisation had resulted in a steady loss of support, which became especially apparent at the time of their 1997 kidnapping and countdown assassination of Miguel Ángel Blanco. Their loss of sympathisers had been reflected in an erosion of support for the political parties identified with them. In the 1998 Basque parliament elections Euskal Herritarrok, formerly Batasuna, polled 17.7% of the votes. However, by 2001 the party's support had fallen to 10.0%. There were also concerns that Spain's "judicial offensive" against alleged ETA supporters (two Basque political parties and one NGO were banned in September 2008) constituted a threat to human rights. Strong evidence was seen that a legal network had grown so wide as to lead to the arrest of numerous innocent people. According to Amnesty International, torture was still "persistent", though not "systematic". Inroads could be undermined by judicial short-cuts and abuses of human rights. Opinion polls The Euskobarometro, the survey carried out by the Universidad del País Vasco (University of the Basque Country), asking about the views of ETA within the Basque population, obtained these results in May 2009: 64% rejected ETA totally, 13% identified themselves as former ETA sympathisers who no longer support the group. Another 10% agreed with ETA's ends, but not their means. 3% said that their attitude towards ETA was mainly one of fear, 3% expressed indifference and 3% were undecided or did not answer. About 3% gave ETA "justified, with criticism" support (supporting the group but criticising some of their actions) and only 1% gave ETA total support. Even within Batasuna voters, at least 48% rejected ETA's violence. A poll taken by the Basque Autonomous Government in December 2006 during ETA's "permanent" ceasefire showed that 88% of the Basques thought that all political parties needed to launch a dialogue, including a debate on the political framework for the Basque Country (86%). 69% support the idea of ratifying the results of this hypothetical multiparty dialogue through a referendum. This poll also reveals that the hope of a peaceful resolution to the issue of the constitutional status of the Basque region has fallen to 78% (from 90% in April). These polls did not cover Navarre, where support for Basque nationalist electoral options is weaker (around 25% of the population); or the Northern Basque Country, where support is even weaker (around 15% of the population). History During Franco's dictatorship ETA grew out of a student group called Ekin, founded in the early 1950s, which published a magazine and undertook direct action. ETA was founded on 31 July 1959 as Euskadi Ta Askatasuna ("Basque Homeland and Liberty" or "Basque Country and Freedom") by students frustrated by the moderate stance of the Basque Nationalist Party. (Originally, the name for the organisation used the word Aberri instead of Euskadi, creating the acronym ATA. However, in some Basque dialects, ata means duck, so the name was changed.) ETA held their first assembly in Bayonne, France, in 1962, during which a "declaration of principles" was formulated and following which a structure of activist cells was developed. Subsequently, Marxist and third-worldist perspectives developed within ETA, becoming the basis for a political programme set out in Federico Krutwig's 1963 book Vasconia, which is considered to be the defining text of the movement. In contrast to previous Basque nationalist platforms, Krutwig's vision was anti-religious and based upon language and culture rather than race. ETA's third and fourth assemblies, held in 1964 and 1965, adopted an anti-capitalist and anti-imperialist position, seeing nationalism and the class struggle as intrinsically connected. Some sources attributed the 1960 bombing of the Amara station in Donostia-San Sebastian (which killed a 22-month-old child) to ETA, but statistics published by the Spanish Ministry of the Interior have always showed that ETA's first victim was killed in 1968. The 1960 attack was claimed by the Portuguese and Galician left-wing group Directorio Revolucionario Ibérico de Liberación (DRIL) (together with four other very similar bombings committed that same day across Spain, all of them attributed to DRIL), and the attribution to ETA has been considered to be unfounded by researchers. Police documents dating from 1961, released in 2013, show that the DRIL was indeed the author of the bombing. A more recent study by the Memorial de Víctimas del Terrorismo based on the analysis of police diligences at the time reached the same conclusion, naming Guillermo Santoro, member of DRIL, as the author of the attack. ETA's first killing occurred on 7 June 1968, when Guardia Civil member José Pardines Arcay was shot dead after he tried to halt ETA member Txabi Etxebarrieta during a routine road check. Etxebarrieta was chased down and killed as he tried to flee. This led to retaliation in the form of the first planned ETA assassination: that of Melitón Manzanas, chief of the secret police in San Sebastián and associated with a long record of tortures inflicted on detainees in his custody. In December 1970, several members of ETA were condemned to death in the Burgos trials (Proceso de Burgos), but international pressure resulted in their sentences being commuted (a process which, however, had by that time already been applied to some other members of ETA). In early December 1970, ETA kidnapped the German consul in San Sebastian, Eugen Beilh, to exchange him for the Burgos defendants. He was released unharmed on 24 December. Nationalists who refused to follow the tenets of Marxism–Leninism and who sought to create a united front appeared as ETA-V, but lacked the support to challenge ETA. The most significant assassination performed by ETA during Franco's dictatorship was Operación Ogro, the December 1973 bomb assassination in Madrid of Admiral Luis Carrero Blanco, Franco's chosen successor and president of the government (a position roughly equivalent to being a prime minister). The assassination had been planned for months and was executed by placing a bomb in a tunnel dug below the street where Carrero Blanco's car passed every day. The bomb blew up beneath the politician's car and left a massive crater in the road. For some in the Spanish opposition, Carrero Blanco's assassination, i.e., the elimination of Franco's chosen successor was an instrumental step for the subsequent re-establishment of democracy. The government responded with new anti-terrorism laws which gave police greater powers and empowered military tribunals to pass death sentences against those found guilty. However, the last use of capital punishment in Spain when two ETA members were executed in September 1975, eight weeks before Franco's death, sparked massive domestic and international protests against the Spanish government. During the transition During the Spanish transition to democracy which began following Franco's death, ETA split into two separate groups: ETA political-military or ETA(pm), and ETA military or ETA(m). Both ETA(m) and ETA(pm) refused offers of amnesty, and instead pursued and intensified their violent struggle. The years 1978–1980 were to prove ETA's most deadly, with 68, 76, and 98 fatalities, respectively. During the Franco dictatorship, ETA was able to take advantage of tolerance by the French government, which allowed its members to move freely through French territory, believing that in this manner they were contributing to the end of Franco's regime. There is much controversy over the degree to which this policy of "sanctuary" continued even after the transition to democracy, but it is generally agreed that after 1983 the French authorities started to collaborate with the Spanish government against ETA. In the 1980s, ETA(pm) accepted the Spanish government's offer of individual pardons to all ETA prisoners, even those who had committed violent crimes, who publicly abandoned the policy of violence. This caused a new division in ETA(pm) between the seventh and eighth assemblies. ETA VII accepted this partial amnesty granted by the now democratic Spanish government and integrated into the political party Euskadiko Ezkerra ("Left of the Basque Country"). ETA VIII, after a brief period of independent activity, eventually integrated into ETA(m). With no factions existing anymore, ETA(m) reclaimed the original name of Euskadi Ta Askatasuna. GAL During the 1980s a "dirty war" ensued using the Grupos Antiterroristas de Liberación (GAL, "Antiterrorist Liberation Groups"), a paramilitary group which billed themselves as counter-terrorist, active between 1983 and 1987. The GAL's stated mission was to avenge every ETA killing with another killing of ETA exiles in the French department of Pyrénées Atlantiques. GAL committed 27 assassinations (all but one in France), plus several kidnappings and torture, not only of ETA members but of civilians supposedly related to those, some of whom turned out to have nothing to do with ETA. GAL activities were a follow-up of similar dirty war actions by death squads, actively supported by members of Spanish security forces and secret services, using names such as active from 1975 to 1981. They were responsible for the killing of about 48 people. One consequence of GAL's activities in France was the decision in 1984 by interior minister Pierre Joxe to permit the extradition of ETA suspects to Spain. Reaching this decision had taken 25 years and was critical in curbing ETA's capabilities by denial of previously safe territory in France. The airing of the state-sponsored "dirty war" scheme and the imprisonment of officials responsible for GAL in the early 1990s led to a political scandal in Spain. The group's connections with the state were unveiled by the Spanish journal , with an investigative series leading to the GAL plot being discovered and a national trial initiated. As a consequence, the group's attacks since the revelation have generally been dubbed state terrorism. In 1997 the Spanish court finished its trial, which resulted in convictions and imprisonment of several individuals related to the GAL, including civil servants and politicians up to the highest levels of the Spanish Socialist Workers' Party (PSOE) government, such as former Homeland Minister José Barrionuevo. Premier Felipe González was quoted as saying that the constitutional state has to defend itself "even in the sewers" (), something which, for some, indicated at least his knowledge of the scheme. However, his involvement with the GAL could never be proven. These events marked the end of the armed "counter-terrorist" period in Spain and no major cases of foul play on the part of the Spanish government after 1987 (when GAL ceased to operate) have been proven in courts. Human rights According to the radical nationalist group, Euskal Memoria, between 1960 and 2010 there were 465 deaths in the Basque Country due to (primarily Spanish) state violence. This figure is considerably higher than those given elsewhere, which are usually between 250 and 300. Critics of ETA cite only 56 members of that organisation killed by state forces since 1975. ETA members and supporters routinely claim torture at the hands of Spanish police forces. While these claims are hard to verify, some convictions were based on confessions while prisoners were held incommunicado and without access to a lawyer of their choice, for a maximum of five days. These confessions were routinely repudiated by the defendants during trials as having been extracted under torture. There were some successful prosecutions of proven tortures during the "dirty war" period of the mid-1980s, although the penalties have been considered by Amnesty International as unjustifiably light and lenient with co-conspirators and enablers. In this regard, Amnesty International showed concern for the continuous disregard of the recommendations issued by the agency to prevent the alleged abuses from possibly taking place. Also in this regard, ETA's manuals were found instructing its members and supporters to claim routinely that they had been tortured while detained. Unai Romano's case was very controversial: pictures of him with a symmetrically swollen face of uncertain aetiology were published after his incommunicado period leading to claims of police abuse and torture. Martxelo Otamendi, the ex-director of the Basque newspaper , decided to bring charges in September 2008 against the Spanish Government in the European Court of Human Rights for "not inspecting properly" cases tainted by torture. As a result of ETA's violence, threats and killings of journalists, Reporters Without Borders included Spain in all six editions of its annual watchlist on press freedom up to 2006. Thus, the NGO included ETA in its watchlist "Predators of Press Freedom". Under democracy ETA performed their first car bomb assassination in Madrid in September 1985, resulting in one death (American citizen Eugene Kent Brown, employee of Johnson & Johnson) and sixteen injuries; the Plaza República Dominicana bombing in July 1986 killed 12 members of the Guardia Civil and injured 50; on 19 June 1987, the Hipercor bombing was an attack in a shopping centre in Barcelona, killing 21 and injuring 45; in the last case, entire families were killed. The horror caused then was so striking that ETA felt compelled to issue a communiqué stating that they had given warning of the Hipercor bomb, but that the police had declined to evacuate the area. The police said that the warning came only a few minutes before the bomb exploded. In 1986 (known in English as Association for Peace in the Basque Country) was founded; they began to convene silent demonstrations in communities throughout the Basque Country the day after any violent killing, whether by ETA or by GAL. These were the first systematic demonstrations in the Basque Country against political violence. Also in 1986, in Ordizia, ETA gunned down María Dolores Katarain, known as "Yoyes", while she was walking with her infant son. Yoyes was a former member of ETA who had abandoned the armed struggle and rejoined civil society: they accused her of "desertion" because of her taking advantage of the Spanish reinsertion policy which granted amnesty to those prisoners who publicly renounced political violence (see below). On 12 January 1988, all Basque political parties except ETA-affiliated Herri Batasuna signed the Ajuria-Enea pact with the intent of ending ETA's violence. Weeks later on 28 January, ETA announced a 60-day "ceasefire", later prolonged several times. Negotiations known as the ("Algiers Table") took place between the ETA representative Eugenio Etxebeste ("Antxon") and the then PSOE government of Spain, but no successful conclusion was reached, and ETA eventually resumed the use of violence. During this period, the Spanish government had a policy referred to as "reinsertion", under which imprisoned ETA members whom the government believed had genuinely abandoned violence could be freed and allowed to rejoin society. Claiming a need to prevent ETA from coercively impeding this reinsertion, the PSOE government decided that imprisoned ETA members, who previously had all been imprisoned within the Basque Country, would instead be dispersed to prisons throughout Spain, some as far from their families as in the Salto del Negro prison in the Canary Islands. France has taken a similar approach. In the event, the only clear effect of this policy was to incite social protest, especially from nationalists and families of the prisoners, claiming cruelty of separating family members from the insurgents. Much of the protest against this policy runs under the slogan ("Basque prisoners to the Basque Country"; by "Basque prisoners" only ETA members are meant). It has to be noted that almost in any Spanish jail there is a group of ETA prisoners, as the number of ETA prisoners makes it difficult to disperse them. / ("Pro-Amnesty Managing Assemblies", currently illegal), later ("Freedom") and ("The Family Members"), provided support for prisoners and families. The Basque Government and several Nationalist town halls granted money on humanitarian reasons for relatives to visit prisoners. The long road trips have caused accidental deaths that are protested against by Nationalist Prisoner's Family supporters. During the ETA ceasefire of the late 1990s, the PSOE government brought the prisoners on the islands and in Africa back to the mainland. Since the end of the ceasefire, ETA prisoners have not been sent back to overseas prisons. Some Basque authorities have established grants for the expenses of visiting families. Another Spanish "counter-terrorist" law puts suspected terrorist cases under the central tribunal in Madrid, due to the threats by the group over the Basque courts. Under Article 509 suspected terrorists are subject to being held incommunicado for up to thirteen days, during which they have no contact with the outside world other than through the court-appointed lawyer, including informing their family of their arrest, consultation with private lawyers or examination by a physician other than the coroners. In comparison, the habeas corpus term for other suspects is three days. In 1992, ETA's three top leaders—"military" leader Francisco Mujika Garmendia ("Pakito"), political leader José Luis Alvarez Santacristina ("Txelis") and logistical leader José María Arregi Erostarbe ("Fiti"), often referred to collectively as the "cúpula" of ETA or as the Artapalo collective—were arrested in the northern Basque town of Bidart, which led to changes in ETA's leadership and direction. After a two-month truce, ETA adopted even more radical positions. The principal consequence of the change appears to have been the creation of the "Y Groups", formed by young militants of ETA parallel groups (generally minors), dedicated to so-called —street struggle—and whose activities included burning buses, street lamps, benches, ATMs, and garbage containers, and throwing Molotov cocktails. The appearance of these groups was attributed by many to the supposed weakness of ETA, which obliged them to resort to minors to maintain or augment their impact on society after arrests of leading militants, including the "cupola". ETA also began to menace leaders of other parties besides rival Basque nationalist parties. In 1995, the armed group again launched a peace proposal. The so-called "Democratic Alternative" replaced the earlier KAS Alternative as a minimum proposal for the establishment of Euskal Herria. The Democratic Alternative offered the cessation of all armed ETA activity if the Spanish government would recognize the Basque people as having sovereignty over Basque territory, the right to self-determination, and that it freed all ETA members in prison. The Spanish government ultimately rejected this peace offer as it would go against the Spanish Constitution of 1978. Changing the constitution was not considered. Also in 1995 was a failed ETA car bombing attempt directed against José María Aznar, a conservative politician who was the leader of the then-opposition (PP) and was shortly after elected to the presidency of the government; there was also an abortive attempt in Majorca on the life of King Juan Carlos I. Still, the act with the largest social impact came the following year. On 10 July 1997, PP council member Miguel Ángel Blanco was kidnapped in the Basque town of Ermua, with the separatist group threatening to assassinate him unless the Spanish government met ETA's demand of starting to bring all ETA's inmates to prisons of the Basque Country within two days after the kidnapping. This demand was not met by the Spanish government and after three days Miguel Ángel Blanco was found shot dead when the deadline expired. More than six million people took out to the streets to demand his liberation, with massive demonstrations occurring as much in the Basque regions as elsewhere in Spain, chanting cries of "Assassins" and "Basques yes, ETA no". This response came to be known as the "Spirit of Ermua". Later acts of violence included the 6 November 2001 car bomb in Madrid which injured 65 people, and attacks on football stadiums and tourist destinations throughout Spain. The 11 September 2001 attacks in the US appeared to have dealt a hard blow to ETA, owing to the worldwide toughening of "anti-terrorist" measures (such as the freezing of bank accounts), the increase in international policy coordination, and the end of the toleration some countries had, up until then, extended to ETA. Additionally, in 2002 the Basque nationalist youth movement, Jarrai, was outlawed and the law of parties was changed outlawing Herri Batasuna, the "political arm" of ETA (although even before the change in law, Batasuna had been largely paralysed and under judicial investigation by judge Baltasar Garzón). With ever-increasing frequency, attempted ETA actions were frustrated by Spanish security forces. On 24 December 2003, in San Sebastián and in Hernani, National Police arrested two ETA members who had left dynamite in a railroad car prepared to explode in Chamartín Station in Madrid. On 1 March 2004, in a place between Alcalá de Henares and Madrid, a light truck with 536 kg of explosives was discovered by the Guardia Civil. ETA was initially blamed for the 2004 Madrid bombings by the outgoing government and large sections of the press. However, the group denied responsibility and Islamic fundamentalists from Morocco were eventually convicted. The judicial investigation currently states that there is no relationship between ETA and the Madrid bombings. 2006 ceasefire declaration and subsequent discontinuation In the context of negotiation with the Spanish government, ETA declared what it described as a "truce" several times since its creation. On 22 March 2006, ETA sent a DVD message to the Basque Network Euskal Irrati-Telebista and the journals Gara and Berria with a communiqué from the group announcing what it called a "permanent ceasefire" that was broadcast over Spanish TV. Talks with the group were then officially opened by Spanish Presidente del Gobierno José Luis Rodríguez Zapatero. These took place all over 2006, not free from incidents such as an ETA cell stealing some 300 handguns, ammunition and spare parts in France in October 2006. or a series of warnings made by ETA such as the one of 23 September, when masked ETA militants declared that the group would "keep taking up arms" until achieving "independence and socialism in the Basque country", which were regarded by some as a way to increase pressure on the talks, by others as a tactic to reinforce ETA's position in the negotiations. Finally, on 30 December 2006 ETA detonated a van bomb after three confusing warning calls, in a parking building at the Madrid Barajas international airport. The explosion caused the collapse of the building and killed two Ecuadorian immigrants who were napping inside their cars in the parking building. At 6:00 pm, José Luis Rodríguez Zapatero released a statement stating that the "peace process" had been discontinued. 2008 to present In January 2008, ETA stated that its call for independence is similar to that of the Kosovo status and Scotland. In the week of 8 September 2008, two Basque political parties were banned by a Spanish court for their secretive links to ETA. In another case in the same week, 21 people were convicted whose work on behalf of ETA prisoners actually belied secretive links to the armed separatists themselves. ETA reacted to these actions by placing three major car bombs in less than 24 hours in northern Spain. In April 2009 Jurdan Martitegi was arrested, making him the fourth consecutive ETA military chief to be captured within a single year, an unprecedented police record, further weakening the group. Violence surged in the middle of 2009, with several ETA attacks leaving three people dead and dozens injured around Spain. Amnesty International condemned these attacks as well as ETA's "grave human rights abuses". The Basque newspaper Gara published an article that suggested that ETA member Jon Anza could have been killed and buried by Spanish police in April 2009. The central prosecutor in the French town of Bayonne, Anne Kayanakis, announced, as the official version, that the autopsy carried out on the body of Jon Anza – a suspected member of the armed Basque group ETA, missing since April 2009 – revealed no signs of having been beaten, wounded or shot, which should rule out any suspicions that he died from unnatural causes. Nevertheless, that very magistrate denied the demand of the family asking for the presence of a family doctor during the autopsy. After this, Jon Anza's family members asked for a second autopsy to be carried out. In December 2009, Spain raised its terror alert after warning that ETA could be planning major attacks or high-profile kidnappings during Spain's European Union presidency. The next day, after being asked by the opposition, Alfredo Pérez Rubalcaba said that warning was part of a strategy. 2010 ceasefire On 5 September 2010, ETA declared a new ceasefire, its third after two previous ceasefires were ended by the group. A spokesperson speaking on a video announcing the ceasefire said the group wished to use "peaceful, democratic means" to achieve its aims, though it was not specified whether the ceasefire was considered permanent by the group. ETA claimed that it had decided to initiate a ceasefire several months before the announcement. In the part of the video, the spokesperson said that the group was "prepared today as yesterday to agree to the minimum democratic conditions necessary to put in motion a democratic process if the Spanish government is willing". The announcement was met with a mixed reaction; Basque nationalist politicians responded positively and said that the Spanish and international governments should do the same, while the Spanish interior counsellor of Basque, Rodolfo Ares, said that the committee did not go far enough. He said that he considered ETA's statement "absolutely insufficient" because it did not commit to a complete termination of what Ares considered "terrorist activity" by the group. 2011 permanent ceasefire and cessation of armed activity On 10 January 2011, ETA declared that their September 2010 ceasefire would be permanent and verifiable by international observers. Observers urged caution, pointing out that ETA had broken permanent ceasefires in the past, whereas Prime Minister José Luis Rodríguez Zapatero (who left office in December 2011) demanded that ETA declare that it had given up violence once and for all. After the declaration, Spanish press started speculating of a possible Real IRA-type split within ETA, with hardliners forming a new more violent offshoot led by "Dienteputo". On 21 October 2011, ETA announced a cessation of armed activity via video clip sent to media outlets following the Donostia-San Sebastián International Peace Conference, which was attended by former UN Secretary-General Kofi Annan, former Taoiseach of Ireland Bertie Ahern, former prime minister of Norway Gro Harlem Brundtland (an international leader in sustainable development and public health), former Interior Minister of France Pierre Joxe, president of Sinn Féin Gerry Adams (a Teachta Dála in Dáil Éireann), and British diplomat Jonathan Powell, who served as the first Downing Street Chief of Staff. They all signed a final declaration that was supported also by former UK Prime Minister Tony Blair, the former US president and 2002 Nobel Peace Prize winner Jimmy Carter, and the former US senator and former US Special Envoy for Middle East Peace George J. Mitchell. The meeting did not include Spanish or French government representatives. The day after the ceasefire, in a contribution piece to The New York Times, Tony Blair indicated that lessons in dealing with paramilitary separatist groups can be learned from how the Spanish administration handled ETA. Blair wrote, "governments must firmly defend themselves, their principles and their people against terrorists. This requires good police and intelligence work as well as political determination. [However], firm security pressure on terrorists must be coupled with offering them a way out when they realize that they cannot win by violence. Terrorist groups are rarely defeated by military means alone". Blair also suggested that Spain would need to discuss weapon decommissioning, peace strategies, reparations for victims, and security with ETA, as Britain discussed with the Provisional IRA. ETA had declared ceasefires many times before, most significantly in 1999 and 2006, but the Spanish government and media outlets expressed particularly hopeful opinions regarding the permanence of this proclamation. Spanish premier José Luis Rodríguez Zapatero described the move as "a victory for democracy, law and reason". Additionally, the effort of security and intelligence forces in Spain and France are cited by politicians as the primary instruments responsible for the weakening of ETA. The optimism may come as a surprise considering ETA's failure to renounce the independence movement, which has been one of the Spanish government's requirements. Less optimistically, Spanish Prime Minister Mariano Rajoy of the centre-right People's Party expressed the need to push for the full dissolution of ETA. The People's Party has emphasized the obligation of the state to refuse negotiations with separatist movements since former Prime Minister José María Aznar was in office. Aznar was responsible for banning media outlets seen as subversive to the state and Batasuna, the political party of ETA. Additionally, in preparation for his party's manifesto, on 30 October 2011, Rajoy declared that the People's Party would not negotiate with ETA under threats of violence nor announcements of the group's termination, but would instead focus party efforts on remembering and honouring victims of separatist violence. This event may not alter the goals of the Basque separatist movement but will change the method of the fight for a more autonomous state. Negotiations with the newly elected administration may prove difficult with the return to the centre-right People's Party, which is replacing Socialist control, due to pressure from within the party to refuse all ETA negotiations. In September 2016, French police stated that they did not believe ETA had made progress in giving up arms. In March 2017, well-known French-Basque activist was quoted as having told Le Monde, "ETA has made us responsible for the disarmament of its arsenal, and by the afternoon of 8 April, ETA will be completely unarmed." On 7 April, the BBC reported that ETA would disarm "tomorrow", including a photo of a stamped ETA letter attesting to this. The French police found 3.5 tonnes of weapons on 8 April, the following day, at the caches handed over by ETA. ETA, for its part, issued a statement endorsing the 2017 Catalan independence referendum. End of political activity In a letter to online newspaper El Diario, published on 2 May 2018, ETA formally announced that it had "completely dissolved all its structures and ended its political initiative" on 16 April 2018. A leading leftwing Basque nationalist politician and former ETA member, Arnaldo Otegi, the general coordinator of the Basque coalition party EH Bildu, has said the violence ETA used in its quest for independence “should never have happened” and it ought to have laid down its arms far earlier than it did. A full quote: 'Today we want to make specific mention of the victims of Eta's violence,” said Otegi. “We want to express to them our sorrow and pain for the suffering they endured. We feel their pain, and that sincere feeling leads us to affirm that it should never have happened, that no one could be satisfied with what happened, and that it should not have lasted as long as it did. We should have managed to reach [the abandonment of the armed campaign] sooner.' Victims, tactics and attacks Victims ETA's targets expanded from military or police-related personnel and their families to a wider array, which included the following: Fascist leaders (such as Prime Minister Admiral Luis Carrero Blanco, Franco's successor was killed in a bombing on December 20, 1973. Spanish military and police personnel, active duty or retired. The barracks of the Guardia Civil also provide housing for their families, thus, attacks on the barracks have also resulted in deaths of relatives, including children. As the regional police (Ertzaintza in the Basque Country and Mossos d'Esquadra in Catalonia) took a greater role in combating ETA, they were added to their list of targets. Businessmen (such as Javier Ybarra and Ignacio Uria Mendizabal): these are mainly targeted in order to extort them for the so-called "revolutionary tax". Refusal to pay has been punished with assassinations, kidnappings for ransom or bombings of their business. Prison officers such as José Antonio Ortega Lara. Elected parliamentarians, city councillors and ex-councillors, politicians in general: most prominently Luis Carrero Blanco (killed in 1973). Dozens of politicians belonging to the People's Party (PP) and Spanish Socialist Workers' Party (PSOE) were assassinated or maimed. Some Basque nationalist politicians from the PNV party, such as Juan Mari Atutxa, also received threats. Hundreds of politicians in Spain required a constant bodyguard service. Bodyguards are contingent victims as well. In 2005 ETA announced that it would no longer "target" elected politicians. Nonetheless, ETA killed ex-council member Isaías Carrasco in Mondragon/Arrasate on 7 March 2008. Judges and prosecutors. Particularly threatened were the members of the Spanish anti-terrorist court: the Audiencia Nacional. University professors who publicly expressed ideas that countered armed Basque separatism: such as Manuel Broseta or Francisco Tomás y Valiente. In the latter case, the shooting resulted in more than half a million people protesting against ETA. Journalists: some of these professionals began to be labelled by ETA as targets starting with the killing of journalist José Luis López de la Calle, assassinated in May 2000. Economic targets: a wide array of private or public property considered valuable assets of Spain, especially railroads, tourist sites, industries, or malls. Exceptionally, ETA also assassinated former ETA members such as María Dolores Katarain as a reprisal for having left the group. A number of ETA attacks by car bomb caused random civilian casualties, like ETA's bloodiest attack, the bombing in 1987 of the subterranean parking lot of the Hipercor supermarket in Barcelona which killed 21 civilians and left 45 seriously wounded, of whom 20 were left disabled; also the attack of Plaza de Callao in Madrid. Tactics ETA's tactics included: Direct attacks: killing by shooting the victim in the nape. Bombings (often with car bombs). When the bombs targeted individuals for assassination they were often surreptitiously rigged in the victim's car. The detonating systems varied. They were rarely manually ignited but instead, for example, wired so the bomb would explode on the ignition or when the car went over a set speed limit. Sometimes the bomb was placed inside a stolen car with false plates, parked along the route of the objective, and the explosive remotely activated when the target passed by (e.g. V.I.P. cars, police patrols or military vehicles). These bombs sometimes killed family members of ETA's target victim and bystanders. When the bombs were large car-bombs seeking to produce large damage and terror, they were generally announced by one or more telephone calls made to newspapers speaking in the name of ETA. Charities (usually Detente Y Ayuda—DYA) were also used to announce the threat if the bomb was in a populated area. The type of explosives used in these attacks was initially Goma-2 or self-produced ammonal. After several successful robberies in France, ETA began using Titadyne. Shells: hand-made mortars (the Jo ta ke model) were occasionally used to attack military or police bases. Their lack of precision was probably the reason their use was discontinued. Anonymous threats: often delivered in the Basque Country by placards or graffiti. Such threats forced many people into hiding or exile from the Basque Country and were used to prevent people from freely expressing political ideas other than Basque nationalist ones. Extortion or blackmail: called by ETA a "revolutionary tax", demanding money from a business owner in the Basque Country or elsewhere in Spain, under threats to him and his family, up to and including death threats. Occasionally, some French Basques were threatened in this manner, such as footballer Bixente Lizarazu. ETA moves the extorted funds to accounts in Liechtenstein and other fiscal havens. According to French judiciary sources, as of 2008 ETA exacted an estimated €900,000 a year in this manner. Kidnapping: often as a punishment for failing to pay the blackmail known as "revolutionary tax", but was also used to try to force the government to free ETA prisoners under the threat of killing the kidnapped, as in the kidnapping and subsequent execution of Miguel Angel Blanco. ETA often hid the kidnapped in underground chambers without windows, called zulos, of very reduced dimensions for extended periods. Also, people robbed of their vehicles would usually be tied up and abandoned in an isolated place to allow those who carjacked them to escape. Robbery: ETA members also stole weapons, explosives, machines for license plates and vehicles. Attacks Activity With its attacks against what they considered "enemies of the Basque people", ETA killed over 820 people since 1968, including more than 340 civilians. It maimed hundreds more and kidnapped dozens. Its ability to inflict violence had declined steadily since the group was at its strongest during the late 1970s and 1980 (when it killed 92 people in a single year). After decreasing peaks in the fatal casualties in 1987 and 1991, 2000 was the last year when ETA killed more than 20 in a single year. After 2002, the yearly number of ETA's fatal casualties was reduced to single digits. Similarly, over the 1990s and, especially, during the 2000s, fluid cooperation between the French and Spanish police, state-of-the-art tracking devices and techniques and, apparently, police infiltration allowed increasingly repeating blows to ETA's leadership and structure (between May 2008 and April 2009 no less than four consecutive "military chiefs" were arrested). ETA operated mainly in Spain, particularly in the Basque Country, Navarre, and (to a lesser degree) Madrid, Barcelona, and the tourist areas of the Spanish Mediterranean coast. To date, about 65% of ETA's killings were committed in the Basque Country, followed by Madrid with roughly 15%. Navarre and Catalonia also registered significant numbers. Actions in France usually consisted of assaults on arsenals or military industries to steal weapons or explosives; these were usually stored in large quantities in hide-outs located in the French Basque Country rather than Spain. The French judge Laurence Le Vert was threatened by ETA and a plot arguably aiming to assassinate her was unveiled. Only very rarely have ETA members engaged in shootings with the French Gendarmerie. This often occurred mainly when members of the group were confronted at checkpoints. Despite this, on 1 December 2007 ETA killed two Spanish Civil Guards on counter-terrorist surveillance duties in Capbreton, Landes, France. This was its first killing after it ended its 2006 declaration of "permanent ceasefire" and the first killing committed by ETA in France of a Spanish police agent since 1976, when they kidnapped, tortured and assassinated two Spanish inspectors in Hendaye. Financing In 2007, police reports pointed out that, after the serious blows suffered by ETA and its political counterparts during the 2000s, its budget would have been adjusted to €2,000,000 annually. Although ETA used robbery as a means of financing its activities in its early days, it was accused both of arms trafficking and of benefiting economically from its political counterpart Batasuna. Extortion was ETA's main source of funds. Basque nationalist context ETA was considered to form part of what is informally known as the Basque National Liberation Movement, a movement born much after ETA's creation. This loose term refers to a range of political organizations that are ideologically similar, comprising several distinct organizations that promote a type of leftist Basque nationalism that is often referred to by the Basque-language term Ezker Abertzalea (Nationalist Left). Other groups typically considered to belong to this independentist movement are the political party Batasuna, the nationalist youth organization Segi, the labour union Langile Abertzaleen Batzordeak (LAB), and Askatasuna among others. There are often strong interconnections between these groups, double or even triple membership are not infrequent. There are Basque nationalist parties with similar goals as those of ETA (namely, independence) but who openly reject their violent means. They are: EAJ-PNV, Eusko Alkartasuna, Aralar and, in the French Basque country, Abertzaleen Batasuna. Also, many left-wing parties, such as Ezker Batua, Batzarre and some sectors of the EAJ-PNV party, also support self-determination but are not in favour of independence. French role Historically, members of ETA took refuge in France, particularly the French Basque Country. The leadership typically chose to live in France for security reasons, where police pressure was much less than in Spain. Accordingly, ETA's tactical approach had been to downplay the issue of independence of the French Basque country so as to get French acquiescence for their activities. The French government quietly tolerated the group, especially during Franco's regime, when ETA members could face the death penalty in Spain. In the 1980s, the advent of the GAL still hindered counter-terrorist cooperation between France and Spain, with the French government considering ETA a Spanish domestic problem. At the time, ETA members often travelled between the two countries using the French sanctuary as a base of operations. With the disbanding of the GAL, the French government changed its position on the matter and in the 1990s initiated the ongoing period of active cooperation with the Spanish government against ETA, including fast-track transfers of detainees to Spanish tribunals that are regarded as fully compliant with European Union legislation on human rights and the legal representation of detainees. Virtually all of the highest ranks within ETA –including their successive "military", "political" or finances chiefs – have been captured in French territory, from where they had been plotting their activities after having crossed the border from Spain. In response to the new situation, ETA carried out attacks against French policemen and made threats to some French judges and prosecutors. This implied a change from the group's previous low-profile in the French Basque Country, which successive ETA leaders had used to discreetly manage their activities in Spain. Government response ETA considered its prisoners political prisoners. Until 2003, ETA consequently forbade them to ask penal authorities for progression to tercer grado (a form of open prison that allows single-day or weekend furloughs) or parole. Before that date, those who did so were menaced and expelled from the group. Some were assassinated by ETA for leaving the group and going through reinsertion programs. The Spanish Government passed the Ley de Partidos Políticos. This is a law barring political parties that support violence and do not condemn terrorist actions or are involved with terrorist groups. The law resulted in the banning of Herri Batasuna and its successor parties unless they explicitly condemned terrorist actions and, at times, imprisoning or trying some of its leaders who have been indicted for cooperation with ETA. Judge Baltasar Garzón initiated a judicial procedure (coded as 18/98), aimed towards the support structure of ETA. This procedure started in 1998 with the preventive closure of the newspaper Egin (and its associated radio-station Egin Irratia), accused of being linked to ETA, and temporary imprisoning the editor of its "investigative unit", Pepe Rei, under similar accusations. In August 1999 Judge Baltasar Garzón authorized the reopening of the newspaper and the radio, but they could not reopen due to economic difficulties. Judicial procedure 18/98 has many ramifications, including the following: A trial against a little-known organization called Xaki, acquitted in 2001 as the "international network" of ETA. A trial against the youths' movement Jarrai- Haika-Segi, accused of contributing to street violence in an organized form and connivance with ETA. Another trial against Pepe Rei and his new investigation magazine Ardi Beltza (Black Sheep). The magazine was also closed down. A trial against the political organization Ekin (Action), accused of promoting civil disobedience. A trial against the organization Joxemi Zumalabe Fundazioa, which was once again accused of promoting civil disobedience. A trial against the prisoner support movement Amnistiaren Aldeko Komiteak. A trial against Batasuna and the Herriko Tabernak (people's taverns), accused of acting as a network of meeting centres for members and supporters of ETA. Batasuna was outlawed in all forms. Most taverns continue working normally as their ownership is not directly linked to Batasuna. A trial against the league of Basque-language academies AEK. The case was dropped in 2001. Another trial against Ekin, accusing Iker Casnova of managing the finances of ETA. A trial against the association of Basque municipalities Udalbiltza. The closing of the newspaper Euskaldunon Egunkaria in 2003 and the imprisonment and trial of its editor, Martxelo Otamendi, due to links with ETA accounting and fundraising, and other journalists (some of whom reported torture). In 2007, indicted members of the youth movements Haika, Segi and Jarrai were found guilty of a crime of connivance with terrorism. In May 2008, leading ETA figures were arrested in Bordeaux, France. Francisco Javier López Peña, also known as 'Thierry,' had been on the run for twenty years before his arrest. A final total of arrests brought in six people, including ETA members and supporters, including the ex-Mayor of Andoain, José Antonio Barandiarán, who is rumoured to have led police to 'Thierry'. The Spanish Interior Ministry claimed the relevance of the arrests would come in time with the investigation. Furthermore, the Interior Minister said that those members of ETA now arrested had ordered the latest attacks and that senior ETA member Francisco Javier López Peña was "not just another arrest because he is, in all probability, the man who has most political and military weight in the terrorist group." After Lopez Pena's arrest, along with the Basque referendum being put on hold, police work has been on the rise. On 22 July 2008, Spanish police dismantled the most active cell of ETA by detaining nine suspected members of the group. Interior Minister Alfredo Perez Rubalcaba said about the arrests: "We can't say this is the only ETA unit but it was the most active, most dynamic and of course the most wanted one." Four days later French police also arrested two suspects believed to be tied to the same active cell. The two suspects were: Asier Eceiza, considered a top aide to a senior ETA operative still sought by police, and Olga Comes, whom authorities have linked to the ETA suspects. International response The European Union and the United States listed ETA as a terrorist group in their relevant watch lists. ETA has been a Proscribed Organisation in the United Kingdom under the Terrorism Act 2000 since 29 March 2001. The Canadian Parliament listed ETA as a terrorist group in 2003. France and Spain have often shown co-operation in the fight against ETA, after France's lack of co-operation during the Franco era. In late 2007, two Spanish guards were shot to death in France when on a joint operation with their French counterparts. Furthermore, in May 2008, the arrests of four people in Bordeaux led to a breakthrough against ETA, according to the Spanish Interior Ministry. In 2008, as ETA activity increased, France increased its pressure on ETA by arresting more ETA suspects, including Unai Fano, María Lizarraga, and Esteban Murillo Zubiri in Bidarrain. He had been wanted by the Spanish authorities since 2007 when a Europol arrest warrant was issued against him. French judicial authorities had already ordered that he be held in prison on remand. Spain has also sought cooperation from the United Kingdom in dealing with ETA-IRA ties. In 2008, this came to light after Iñaki de Juana Chaos, whose release from prison was cancelled on appeal, had moved to Belfast. He was thought to be staying at an IRA safe house while being sought by the Spanish authorities. Interpol notified the judge, Eloy Velasco, that he was in either the Republic of Ireland or Northern Ireland. Other related armed groups Disbanded violent groups Anti-ETA groups: Acción Nacional Española ATE (Anti-Terrorismo ETA) Batallón Vasco Español Grupos Antiterroristas de Liberación (GAL) Guerrilleros de Cristo Rey Minor Basque nationalist and radical left-wing groups: Iparretarrak Iraultza Comandos Autónomos Anticapitalistas Euskal Zuzentasuna Hordago Irrintzi International links ETA was known to have had 'fraternal' contacts with the Provisional Irish Republican Army; the two groups have both, at times, characterized their struggles as parallel. Links between the two groups go back to at least March 1974. ETA purchased Strela 2 surface-to-air missiles from the IRA and in 2001 unsuccessfully attempted to shoot down a jet carrying the Spanish Prime Minister, José María Aznar. It has also had links with other militant left-wing movements in Europe and other places throughout the world. In the late 1960s, the Portuguese terrorist group LUAR, which was fighting the dictatorship, brokered the contacts that allowed ETA to purchase weapons in the former Czechoslovak Republic. The partnership continued as LUAR would later assign part of the stolen passports on Portugal consulted in Rotterdam and Luxembourg, in 1971. These were used by ETA in the Ogro operation that resulted in the assasination of Prime Minister, Admiral Carrero Blanco. Later, in 1981, when Portugal and Spain were living already in full democracy, ETA exchanged weapons, explosives and provided logistical support to the Forças Populares 25 de Abril (FP-25), a Portuguese far-left terrorist group. In 1981, FP-25 received Gama 2 explosives and two dozen FireBird pistols in exchange for G3 machine guns Additionally, ETA came to harbor in the Basque Country, two FP-25 terrorists who needed to retreat. In 1999 ETA commandos teamed up with the (now self-dissolved) Breton Revolutionary Army to steal explosives from magazines in Brittany. The Colombian government stated that there are contacts between ETA and the Colombian guerrillas FARC. The recent capture of FARC's leaders' computers, and leaked email exchanges between both groups, show that ETA members received training from FARC. Apparently, FARC asked for help from ETA to conduct future attacks in Spain, but the Anncol news agency later denied it, clarifying that the Spanish capital Madrid had been confused with a city in northern Colombia also named Madrid. Following a judicial investigation, it was reported that FARC and ETA had held meetings in Colombia, exchanging information about combat tactics and methods of activating explosives through mobile phones. The two organizations were said to have met at least three times. One of the meetings involved two ETA representatives and two FARC leaders, at a FARC camp, and lasted for a week in 2003. FARC also offered to hide ETA fugitives while requesting anti-air missiles, as well as asking ETA to supply medical experts who could work at FARC prison camps for more than a year. Besides, and more controversially, FARC also asked ETA to stage attacks and kidnappings on its behalf in Europe. Italian author and mafia specialist Roberto Saviano pointed to a relationship of the group with the Mafia. According to this view, ETA trafficked cocaine which it got via its FARC contacts, then traded it with the Mafia for guns. Several ex-militants were sent from France through Panama to reside in Cuba after an agreement of the Spanish government (under Felipe González) with Cuba. The United States Department of State has no information on their activities on Cuban territory. Mapuche groups in the Argentine province of Neuquén have been accused of being trained by both ETA and FARC. Local Mapuches have classified the rumours as part of a plot by businessmen and other Argentines. The United States diplomatic cables leak revealed by WikiLeaks showed the government of Michelle Bachelet had asked the United States aid in investigating a possible FARC-ETA-Mapuche link. In the media Films Documentary films , about the families of Basque politician Fernando Buesa and his bodyguard, both killed by ETA. The Basque Ball: The Skin Against the Stone, (La Pelota Vasca, 2003) about the Basque conflict by filmmaker Julio Medem: interviews about Basque nationalism and politics. Includes testimonials of ETA victims and relatives of ETA prisoners. , Eterio Ortega and Elías Querejeta interview local councillors threatened by ETA. , the testimony of some of ETA's victims in the last 30 years by filmmaker Iñaki Arteta. 48 horas: A movie about the kidnapping of Miguel Angel Blanco and his subsequent murder ETA. Une histoire basque, about the history of ETA In 2009 a video posted on YouTube subtitled in French shows an inside view of an ETA cell with their methods of action, notably, bomb making and ID card falsification. Also, there is footage of outdoor military training and of the Basque Warrior Day (Gudari Eguna). Chronique Basque About a Basque politician who is the target of an ETA death threat. Asier ETA biok ("Asier and/ETA I", 2013) Filmmaker Aitor Merino explores his relation with his childhood friend Asier Aranguren, who had become an ETA member. El fin de ETA a documentary about the history of ETA Other fact-based films about ETA Commando Txikia (José Luis Madrid, 1977) (Operation Ogre, 1979), Gillo Pontecorvo's film about the assassination of Luis Carrero Blanco. ("The Burgos Trial", Imanol Uribe, 1979) , about the Segovia prison break when ETA prisoners escaped from Segovia prison. ("The Trial of ETA", Manuel Macià, 1988) , María Dolores Katarain, also known as "Yoyes", tries to leave ETA and is killed by her former comrades. , based on the life of Mikel Lejarza, who, prompted by the Spanish police, entered ETA to be a double agent. Munich, where the squad of Israeli operatives pretend to be members of ETA to avoid conflict with a squad of PLO operatives whilst sharing a neutral safe house. , about the journalistic research leading to the uncovering of the state-supported GAL. (2008) ("A bullet in the head"), about the life of an ETA member the day he will kill two Spanish Policemen in Capbreton, France. ("A Bullet for the King", March 2009) about ETA's failed plot to murder Juan Carlos I during his holidays in Majorca in 1995. (2021) about the meetings between Maixabel Lasa, widow of an assassinated politician, and the repenting assassins. Fictional films featuring ETA members and actions El caso Almería ("The Almería Case", Pedro Costa Musté, 1983) La Muerte de Mikel ("The Death of Mikel", Imanol Uribe, 1983) it:Goma 2 (José Antonio de la Loma, 1984) Ander y Yul ("Ander and Yul", Ana Díez, 1988) Días de humo ("Days of Smoke", Antton Eceiza, 1989) Sombras en una batalla ("Shadows in a Battle", Mario Camus, 1993) Días contados ("Counted Days", Imanol Uribe, 1994) A ciegas ("Blinded", Daniel Calparsoro, 1997) The Jackal (Michael Caton-Jones, 1997) El viaje de Arián ("Arián's Voyage", Eduard Bosch, 2001) La voz de su amo ("His Master's Voice", Emilio Martínez Lázaro, 2001) Esos cielos ("Those skies", Aitzpea Goenaga, 2006) Todos estamos invitados ("We are all invited", Manuel Gutiérrez Aragón, 2008) Casa de mi padre ("My Father's House", Gorka Merchán, 2008) Celda 211 ("Cell 211", Daniel Monzón, 2009) Carlos (Olivier Assayas, 2010) Bomb Scared (Borga Cabeaga, 2017) Patria ("Fatherland", Aitor Gabilondo, 2020). Based on the novel Patria (Fernando Aramburu, 2016) fictional, but based on the social conflict between families of ETA members and families of the victims. Novels The Spanish Game (Charles Cumming, 2006) The Sands of Time (Sidney Sheldon, 1988) The Fish of Bitterness (Los peces de la amargura) in Spanish (Fernando Aramburu, 2006) A Basque Story (M. Bryce Ternet, 2009) Fatherland (Patria) in Spanish (Fernando Aramburu, 2016) Video games In Counter Strike: Global Offensive the group is represented by the in-game faction The Separatists and as playable characters on the in-game map de_Inferno (defusal group) and cs_italy (hostage group). See also Etxerat José Larrañaga Arenas Julen Madariaga Notes References Bibliography This article makes use of material translated from the corresponding article in the Spanish-language Wikipedia. Enric Martinez-Herrera,   originally published in the International Journal on Multicultural Studies, Vol. 4, No. 1, 2002. External links ETA terrorism and art. Exhibition '1989 After the Conversations of Algiers. Delirium and Truce' at Fundació Antoni Tàpies Military units and formations established in 1959 Military units and formations disestablished in 2018 Organizations established in 1959 Organizations disestablished in 2018 Francoist Spain Military wings of socialist parties Separatism in France Separatism in Spain Resistance movements Terrorism in France Terrorism in Spain Articles containing video clips 1959 establishments in the Basque Country (autonomous community) 2018 disestablishments in the Basque Country (autonomous community) Defunct organizations designated as terrorist in Europe
9995
https://en.wikipedia.org/wiki/EastEnders
EastEnders
EastEnders is a British soap opera created by Julia Smith and Tony Holland which has been broadcast on BBC One since 1985. Set in Albert Square in the East End of London in the fictional borough of Walford, the programme follows the stories of local residents and their families as they go about their daily lives. Initially there were two 30-minute episodes per week, later increasing to three, but since 2001, episodes have been broadcast on every weekday except Wednesday (outside of special occasions). The three-month suspension of production in 2020, due to the COVID-19 pandemic, led to broadcasts of the show being reduced to two 30-minute episodes per week, and eventually, the show going on a transmission break. Restrictions to filming resulted in the programme returning to transmission, with four 20-minute episodes per week resuming on 7 September 2020. In February 2022, the programme confirmed that the Friday broadcast would be retired and that from 7 March 2022, the show would be broadcasting every weekday except Friday, thus making it the first time in the show's history that the programme will air on Wednesday on a permanent basis. Within eight months of the show's original launch, it had reached the number one spot in BARB's TV ratings and has consistently remained among the top rated series in Britain. In 2013, the average audience share for an episode was around 30 per cent. Today, EastEnders remains a significant programme in terms of the BBC's success and audience share. It has also been important in the history of British television drama, tackling many subjects that are considered to be controversial or taboo in British culture, and portraying a social life previously unseen on UK mainstream television. , EastEnders has won ten BAFTA Awards and the Inside Soap Award for Best Soap for 14 years running (from 1997 to 2012), as well as twelve National Television Awards for Most Popular Serial Drama and 11 awards for Best British Soap at The British Soap Awards. It has also won 13 TV Quick and TV Choice Awards for Best Soap, six TRIC Awards for Soap of The Year, four Royal Television Society Awards for Best Continuing Drama and has been inducted into the Rose d'Or Hall of Fame. History Conception and preparations for broadcast In March 1983, under two years before EastEnders first episode was broadcast, the show was a vague idea in the mind of a handful of BBC executives, who decided that what BBC1 needed was a popular bi-weekly drama series that would attract the kind of mass audiences that ITV was getting with Coronation Street. The first people to whom David Reid, then head of series and serials, turned were Julia Smith and Tony Holland, a well established producer/script editor team who had first worked together on Z-Cars. The outline that Reid presented was vague: two episodes a week, 52 weeks a year. After the concept was put to them on 14 March 1983, Smith and Holland then went about putting their ideas down on paper; they decided it would be set in the East End of London. Granada Television gave Smith unrestricted access to the Coronation Street production for a month so that she could get a sense how a continuing drama was produced. There was anxiety at first that the viewing public would not accept a new soap set in the south of England, though research commissioned by lead figures in the BBC revealed that southerners would accept a northern soap, northerners would accept a southern soap and those from the Midlands, as Julia Smith herself pointed out, did not mind where it was set as long as it was somewhere else. This was the beginning of a close and continuing association between EastEnders and audience research, which, though commonplace today, was something of a revolution in practice. The show's creators were both Londoners, but when they researched Victorian squares, they found massive changes in areas they thought they knew well. However, delving further into the East End of London, they found exactly what they had been searching for: a real East End spirit—an inward-looking quality, a distrust of strangers and authority figures, a sense of territory and community that the creators summed up as "Hurt one of us and you hurt us all". When developing EastEnders, both Smith and Holland looked at influential models like Coronation Street, but they found that it offered a rather outdated and nostalgic view of working-class life. Only after EastEnders began, and featured the characters of Tony Carpenter and Kelvin Carpenter, did Coronation Street start to feature black characters, for example. They came to the conclusion that Coronation Street had grown old with its audience, and that EastEnders would have to attract a younger, more socially extensive audience, ensuring that it had the longevity to retain it for many years thereafter. They also looked at Brookside but found there was a lack of central meeting points for the characters, making it difficult for the writers to intertwine different storylines, so EastEnders was set in Albert Square. A previous UK soap set in an East End market was ATV's Market in Honey Lane between 1967 and 1969. However this show, which graduated from one showing a week to two in three separate series (the latter series being shown in different time slots across the ITV network) was very different in style and approach from EastEnders. The British Film Institute described Market in Honey Lane thus: "It was not an earth-shaking programme, and certainly not pioneering in any revolutionary ideas in technique and production, but simply proposed itself to the casual viewer as a mildly pleasant affair." The target launch date was originally January 1985. Smith and Holland had eleven months in which to write, cast and shoot the whole thing. However, in February 1984, they did not even have a title or a place to film. Both Smith and Holland were unhappy about the January 1985 launch date, favouring November or even September 1984 when seasonal audiences would be higher, but the BBC stayed firm, and Smith and Holland had to concede that, with the massive task of getting the Elstree Studios operational, January was the most realistic date. However, this was later to be changed to February. The project had a number of working titles—Square Dance, Round the Square, Round the Houses, London Pride and East 8. It was the latter that stuck (E8 is the postcode for Hackney) in the early months of creative process. However, the show was renamed after many casting agents mistakenly thought the show was to be called Estate, and the fictional postcode E20 was created, instead of using E8. Julia Smith came up with the name Eastenders after she and Holland had spent months telephoning theatrical agents and asking "Do you have any real East Enders on your books?" However, Smith thought "Eastenders" "looked ugly written down" and was "hard to say", so decided to capitalise the second 'e'. Initial character creation and casting After they decided on the filming location of BBC Elstree Centre in Hertfordshire, Smith and Holland set about creating the 23 characters needed, in just 14 days. They took a holiday in Playa de los Pocillos, Lanzarote, and started to create the characters. Holland created the Beale and Fowler family, drawing on his own background. His mother, Ethel Holland, was one of four sisters raised in Walthamstow. Her eldest sister, Lou, had married a man named Albert Beale and had two children, named Peter and Pauline. These family members were the basis for Lou Beale, Pete Beale and Pauline Fowler. Holland also created Pauline's unemployed husband Arthur Fowler, their children Mark and Michelle, Pete's wife Kathy and their son Ian. Smith used her personal memories of East End residents she met when researching Victorian squares. Ethel Skinner was based on an old woman she met in a pub, with ill-fitting false teeth, and a "face to rival a neon sign", holding a Yorkshire Terrier in one hand and a pint of Guinness in the other. Other characters created included Jewish doctor Harold Legg, the Anglo-Cypriot Osman family (Ali, Sue and baby Hassan), black father and son Tony and Kelvin Carpenter, single mother Mary Smith and Bangladeshi couple Saeed and Naima Jeffery. Jack, Pearl and Tracey Watts were created to bring "flash, trash, and melodrama" to the Square (they were later renamed Den, Angie and Sharon). The characters of Andy O'Brien and Debbie Wilkins were created to show a modern couple with outwardly mobile pretensions, and Lofty Holloway to show an outsider; someone who did not fit in with other residents. It was decided that he would be a former soldier, as Holland's personal experiences of ex-soldiers were that they had trouble fitting into society after being in the army. When they compared the characters they had created, Smith and Holland realised they had created a cross-section of East End residents. The Beale and Fowler family represented the old families of the East End, who had always been there. The Osmans, Jefferys and Carpenters represented the more modern diverse ethnic community of the East End. Debbie, Andy and Mary represented more modern-day individuals. Once they had decided on their 23 characters, they returned to London for a meeting with the BBC. Everyone agreed that EastEnders would be tough, violent on occasion, funny and sharp—set in Margaret Thatcher's Britain—and it would start with a bang (namely the death of Reg Cox). They decided that none of their existing characters were wicked enough to have killed Reg, so a 24th character, Nick Cotton was added to the line-up. He was a racist thug, who often tried to lead other young characters astray. When all the characters had been created, Smith and Holland set about casting the actors, which also involved the input of lead director Matthew Robinson, who supervised auditions with the other directors at the outset, Vivienne Cozens and Peter Edwards. Final preparations Through the next few months, the set was growing rapidly at Elstree, and a composer and designer had been commissioned to create the title sequence. Simon May wrote the theme music and Alan Jeapes created the visuals. The visual images were taken from an aircraft flying over the East End of London at 1000 feet. Approximately 800 photographs were taken and pieced together to create one big image. The credits were later updated when the Millennium Dome was built. The launch was delayed until February 1985 due to a delay in the chat show Wogan, that was to be a part of the major revamp in BBC1's schedules. Smith was uneasy about the late start as EastEnders no longer had the winter months to build up a loyal following before the summer ratings lull. The press were invited to Elstree to meet the cast and see the lot, and stories immediately started circulating about the show, about a rivalry with ITV (who were launching their own market-based soap, Albion Market) and about the private lives of the cast. Anticipation and rumour grew in equal measure until the first transmission at 7p.m. on 19 February 1985. Both Holland and Smith could not watch; they both instead returned to the place where it all began, Albertine's Wine Bar on Wood Lane. The next day, viewing figures were confirmed at 17million. The reviews were largely favourable, although, after three weeks on air, BBC1's early evening share had returned to the pre-EastEnders figure of seven million, though EastEnders then climbed to highs of up to 23million later on in the year. Following the launch, both group discussions and telephone surveys were conducted to test audience reaction to early episodes. Detailed reactions were taken after six months and since then regular monitoring was conducted. 1980s broadcast history Press coverage of EastEnders, which was already intense, went into overdrive once the show was broadcast. With public interest so high, the media began investigating the private lives of the show's popular stars. Within days, a scandalous headline appeared – "EASTENDERS STAR IS A KILLER". This referred to Leslie Grantham, and his prison sentence for the murder of a taxi driver in an attempted robbery nearly 20 years earlier. This shocking tell-all style set the tone for relations between Albert Square and the press for the next 20 years. The show's first episode attracted some 17million viewers, and it continued to attract high viewing figures from then on. By Christmas 1985, the tabloids could not get enough of the soap. 'Exclusives' about EastEnders storylines and the actors on the show became a staple of tabloid buyers’ daily reading. In 1987 the show featured the first same-sex kiss on a British soap, when Colin Russell (Michael Cashman) kissed boyfriend Barry Clarke on the forehead. This was followed in January 1989, less than a year after legislation came into effect in the UK prohibiting the 'promotion of homosexuality' by local authorities, by the first on-the-mouth gay kiss in a British soap when Colin kissed a new character, Guido Smith (Nicholas Donovan), an episode that was watched by 17 million people. Writer Colin Brake suggested that 1989 was a year of big change for EastEnders, both behind the cameras and in front of them. Original production designer, Keith Harris, left the show, and Holland and Smith both decided that the time had come to move on too; their final contribution coinciding with the exit of one of EastEnders''' most successful characters, Den Watts (Leslie Grantham). Producer Mike Gibbon was given the task of running the show and he enlisted the most experienced writers to take over the storylining of the programme, including Charlie Humphreys, Jane Hollowood and Tony McHale. According to Brake, the departure of two of the soap's most popular characters, Den and Angie Watts (Anita Dobson), left a void in the programme, which needed to be filled. In addition, several other long-running characters left the show that year including Sue and Ali Osman (Sandy Ratcliff and Nejdet Salih) and their family; Donna Ludlow (Matilda Ziegler); Carmel Jackson (Judith Jacob) and Colin Russell (Michael Cashman). Brake indicated that the production team decided that 1989 was to be a year of change in Walford, commenting, "it was almost as if Walford itself was making a fresh start". By the end of 1989 EastEnders had acquired a new executive producer, Michael Ferguson, who had previously been a successful producer on ITV's The Bill. Brake suggested that Ferguson was responsible for bringing in a new sense of vitality and creating a programme that was more in touch with the real world than it had been over the previous year. Changes in the 1990s A new era began in 1990 with the introduction of Phil Mitchell (Steve McFadden) and Grant Mitchell (Ross Kemp)—the Mitchell brothers—successful characters who would go on to dominate the soap thereafter. As the new production team cleared the way for new characters and a new direction, all of the characters introduced under Gibbon were axed from the show at the start of the year. Ferguson introduced other characters and was responsible for storylines including HIV, Alzheimer's disease and murder. After a successful revamp of the soap, Ferguson decided to leave EastEnders in July 1991. Ferguson was succeeded by both Leonard Lewis and Helen Greaves who initially shared the role as Executive Producer for EastEnders. Lewis and Greaves formulated a new regime for EastEnders, giving the writers of the serial more authority in storyline progression, with the script department providing "guidance rather than prescriptive episode storylines". By the end of 1992, Greaves left and Lewis became executive and series producer. He left EastEnders in 1994 after the BBC controllers demanded an extra episode a week, taking its weekly airtime from 60 to 90 minutes. Lewis felt that producing an hour of "reasonable quality drama" a week was the maximum that any broadcasting system could generate without loss of integrity. Having set up the transition to the new schedule, the first trio of episodes—dubbed The Vic siege—marked Lewis's departure from the programme. Barbara Emile then became the Executive Producer of EastEnders,"John Yorke – The New EE Boss ", Walford Gazette. Retrieved 11 November 2007. remaining with EastEnders until early 1995. She was succeeded by Corinne Hollingworth. Hollingworth's contributions to the soap were awarded in 1997 when EastEnders won the BAFTA for Best Drama Series. Hollingworth shared the award with the next Executive Producer, Jane Harris. Harris was responsible for the critically panned Ireland episodes and Cindy Beale's attempted assassination of Ian Beale, which brought in an audience of 23 million in 1996, roughly four million more than Coronation Street."WHAT A LOAD OF PORK PIES; Ireland's full of drunkards, dimwits and donkeys according to EastEnders", The Mirror. Retrieved 18 July 2007. In 1998 Matthew Robinson was appointed as the Executive Producer of EastEnders. During his reign, EastEnders won the BAFTA for "Best Soap" in consecutive years 1999 and 2000 and many other awards. Robinson also earned tabloid soubriquet "Axeman of Albert Square" after sacking a large number of characters in one hit, and several more thereafter. In their place, Robinson introduced new long-running characters including Melanie Healy, Jamie Mitchell, Lisa Shaw, Steve Owen and Billy Mitchell. 2000s John Yorke became the Executive Producer of EastEnders in 2000. Yorke was given the task of introducing the soap's fourth weekly episode. He axed the majority of the Di Marco family and helped introduce popular characters such as the Slater family. As what Mal Young described as "two of EastEnders' most successful years", Yorke was responsible for highly rated storylines such as "Who Shot Phil?", Ethel Skinner's death, Jim Branning and Dot Cotton's marriage, Trevor Morgan's domestic abuse of his wife Little Mo Morgan, and Kat Slater's revelation to her daughter Zoe Slater that she was her mother. In 2002, Louise Berridge succeeded Yorke as the Executive Producer. During her time at EastEnders, Berridge introduced popular characters such as Alfie Moon, Dennis Rickman, Chrissie Watts, Jane Beale, Stacey Slater and the critically panned Indian Ferreira family. Berridge was responsible for some ratings success stories, such as Alfie and Kat Slater's relationship, Janine Butcher getting her comeuppance, Trevor Morgan and Jamie Mitchell's death storylines and the return of one of the greatest soap icons, Den Watts, who had been presumed dead for 14 years. His return in late 2003 was watched by over 16 million viewers, putting EastEnders back at number one in the rating war with the Coronation Street. However, other storylines, such as one about a kidney transplant involving the Ferreiras, were not well received, and although Den Watts's return proved to be a ratings success, the British press branded the plot unrealistic and felt that it questioned the show's credibility. A severe press backlash followed after Den's actor, Leslie Grantham, was outed in an internet sex scandal, which coincided with a swift decline in viewer ratings. The scandal led to Grantham's departure from the soap, but the occasion was used to mark the 20th anniversary of EastEnders, with an episode showing Den's murder at the Queen Vic pub. On 21 September 2004, Berridge quit as executive producer of EastEnders following continued criticism of the show. Kathleen Hutchison was swiftly appointed as the Executive Producer of EastEnders, and was tasked with quickly turning the fortunes of the soap. During her time at the soap Hutchison axed multiple characters, and reportedly ordered the rewriting of numerous scripts. Newspapers reported on employee dissatisfaction with Hutchison's tenure at EastEnders. In January 2005, Hutchison left the soap and John Yorke (who by this time, was the BBC Controller of Continuing Drama Series) took total control of the show himself and became acting Executive Producer for a short period, before appointing Kate Harwood to the role. Harwood stayed at EastEnders for 20 months before being promoted by the BBC. The highly anticipated return of Ross Kemp as Grant Mitchell in October 2005 proved to be a sudden major ratings success, with the first two episodes consolidating to ratings of 13.21 to 13.34 million viewers."Kemp's EastEnders return extended", BBC. URL last accessed on 24 February 2007. On Friday 11 November 2005, EastEnders was the first British drama to feature a two-minute silence. This episode later went on to win the British Soap Award for 'Best Single Episode'. In October 2006, Diederick Santer took over as Executive Producer of EastEnders. He introduced several characters to the show, including ethnic minority and homosexual characters to make the show 'feel more 21st Century'. Santer also reintroduced past and popular characters to the programme. On 2 March 2007, BBC signed a deal with Google to put videos on YouTube. A behind the scenes video of EastEnders, hosted by Matt Di Angelo, who played Deano Wicks on the show, was put on the site the same day, and was followed by another on 6 March 2007. In April 2007, EastEnders became available to view on mobile phones, via 3G technology, for 3, Vodafone and Orange customers. On 21 April 2007, the BBC launched a new advertising campaign using the slogan "There's more to EastEnders". The first television advert showed Dot Branning with a refugee baby, Tomas, whom she took in under the pretence of being her grandson. The second and third featured Stacey Slater and Dawn Swann, respectively."Eastenders – Rob and Dawn", YouTube. Retrieved 29 April 2007. There have also been adverts in magazines and on radio. In 2009, producers introduced a limit on the number of speaking parts in each episode due to budget cuts, with an average of 16 characters per episode. The decision was criticised by Martin McGrath of Equity, who said: "Trying to produce quality TV on the cheap is doomed to fail." The BBC responded by saying they had been working that way for some time and it had not affected the quality of the show. 2010s From 4 February 2010, CGI was used in the show for the first time, with the addition of computer-generated trains.EastEnders celebrated its 25th anniversary on 19 February 2010. Santer came up with several plans to mark the occasion, including the show's first episode to be broadcast live, the second wedding between Ricky Butcher and Bianca Jackson and the return of Bianca's relatives, mother Carol Jackson, and siblings Robbie Jackson, Sonia Fowler and Billie Jackson. He told entertainment website Digital Spy, "It's really important that the feel of the week is active and exciting and not too reflective. There'll be those moments for some of our longer-serving characters that briefly reflect on themselves and how they've changed. The characters don't know that it's the 25th anniversary of anything, so it'd be absurd to contrive too many situations in which they're reflective on the past. The main engine of that week is great stories that'll get people talking." The live episode featured the death of Bradley Branning (Charlie Clements) at the conclusion of the "Who Killed Archie?" storyline, which saw Bradley's wife Stacey Slater (Lacey Turner) reveal that she was the murderer. Viewing figures peaked at 16.6 million, which was the highest viewed episode in seven years. Other events to mark the anniversary were a spin-off DVD, EastEnders: Last Tango in Walford, and an Internet spin-off, EastEnders: E20. Santer officially left EastEnders in March 2010, and was replaced by Bryan Kirkwood. Kirkwood's first signing was the reintroduction of characters Alfie Moon (Shane Richie) and Kat Moon (Jessie Wallace), and his first new character was Vanessa Gold, played by Zöe Lucker. In April and May 2010, Kirkwood axed eight characters from the show, Barbara Windsor left her role of Peggy Mitchell, which left a hole in the show, which Kirkwood decided to fill by bringing back Kat and Alfie, which he said would "herald the new era of EastEnders." EastEnders started broadcasting in high definition on 25 December 2010. Old sets had to be rebuilt, so The Queen Victoria set was burnt down in a storyline (and in reality) to facilitate this. In November 2011, a storyline showed character Billy Mitchell, played by Perry Fenwick, selected to be a torch bearer for the 2012 Summer Olympics. In reality, Fenwick carried the torch through the setting of Albert Square, with live footage shown in the episode on 23 July 2012. This was the second live broadcast of EastEnders. In 2012, Kirkwood chose to leave his role as executive producer and was replaced by Lorraine Newman. The show lost many of its significant characters during this period. Newman stepped down as executive producer after 16 months in the job in 2013 after the soap was criticised for its boring storylines and its lowest-ever figures pointing at around 4.8 million. Dominic Treadwell-Collins was appointed as the new executive producer on 19 August 2013 and was credited on 9 December. He axed multiple characters from the show and introduced the extended Carter family. He also introduced a long-running storyline, "Who Killed Lucy Beale?", which peaked during the show's 30th anniversary in 2015 with a week of live episodes. Treadwell-Collins announced his departure from EastEnders on 18 February 2016. Sean O'Connor, former EastEnders series story producer and then-editor on radio soap opera The Archers, was announced to be taking over the role. Treadwell-Collins left on 6 May and O'Connor's first credited episode was broadcast on 11 July Although O'Connor's first credited episode aired in July, his own creative work was not seen onscreen until late September. Additionally, Oliver Kent was brought in as the Head of Continuing Drama Series for BBC Scripted Studios, meaning that Kent would oversee EastEnders along with O'Connor. O'Connor's approach to the show was to have a firmer focus on realism, which he said was being "true to EastEnders DNA and [finding] a way of capturing what it would be like if Julia Smith and Tony Holland were making the show now." He said that "EastEnders has always had a distinctly different tone from the other soaps but over time we've diluted our unique selling point. I think we need to be ourselves and go back to the origins of the show and what made it successful in the first place. It should be entertaining but it should also be informative—that's part of our unique BBC compact with the audience. It shouldn't just be a distraction from your own life, it should be an exploration of the life shared by the audience and the characters." O'Connor planned to stay with EastEnders until the end of 2017, but announced his departure on 23 June 2017 with immediate effect, saying he wanted to concentrate on a career in film. John Yorke returned as a temporary executive consultant. Kent said, "John Yorke is a Walford legend and I am thrilled that he will be joining us for a short period to oversee the show and to help us build on Sean's legacy while we recruit a long-term successor." Yorke initially returned for three months but his contract was later extended. In July 2018, a special episode was aired as part of a knife crime storyline. This episode, which showed the funeral of Shakil Kazemi (Shaheen Jafargholi) interspersed with real people talking about their true-life experiences of knife crime. On 8 August 2018, it was announced that Kate Oates, who has previously been a producer on the ITV soap operas Emmerdale and Coronation Street, would become Senior Executive Producer of EastEnders, as well of Holby City and Casualty. Oates began her role in October, and continued to work with Yorke until the end of the year to "ensure a smooth handover". It was also announced that Oates was looking for an Executive Producer to work under her. Jon Sen was announced on 10 December 2018 to be taking on the role of executive producer. In late 2016, popularity and viewership of EastEnders began to decline, with viewers criticising the storylines during the O'Connor reign, such as the killing of the Mitchell sisters and a storyline centred around the local bin collection. Although, since Yorke and Oates' reigns, opinions towards the storylines have become more favourable, with storylines such as Ruby Allen’s (Louisa Lytton) sexual consent, which featured a special episode which "broke new ground" and knife crime, both of which have created "vital" discussions. The soap won the award for Best Continuing Drama at the 2019 British Academy Television Awards; its first high-profile award since 2016. However, in June 2019, EastEnders suffered its lowest ever ratings of 2.4 million due to its airing at 7 pm because of the BBC's coverage of the 2019 FIFA Women's World Cup. As of 2019, the soap is one of the most watched series on BBC iPlayer and averages around 5 million viewers per episode. The soap enjoyed a record-breaking year on the streaming platform in 2019, with viewers requesting to stream or download the show 234 million times, up 10% on 2018. The Christmas Day episode in 2019 became EastEnders biggest ever episode on BBC iPlayer, with 2.14 million viewer requests. 2020s In February 2020, EastEnders celebrated its 35th anniversary with a stunt on the River Thames leading to the death of Dennis Rickman Jr (Bleu Landau). It was announced on 18 March 2020 that production had been suspended on EastEnders and other BBC Studios continuing dramas in light of new government guidelines following the COVID-19 pandemic, and that broadcast of the show would be reduced to two 30-minute episodes per week, broadcast on Mondays and Tuesdays, respectively. A spokesperson confirmed that the decision was made to reduce transmission so that EastEnders could remain on-screen for longer. Two months later, Charlotte Moore, the director of content at the BBC, announced plans for a return to production. She confirmed that EastEnders would return to filming during June 2020 and that there would be a transmission break between episodes filmed before and after production paused. When production recommences, social distancing measures will be utilised and the show's cast will be required to do their own hair and make-up, which is normally done by a make-up artist. It was announced on 3 June 2020 that EastEnders would go on a transmission break following the broadcast of episode 6124 on 16 June. A behind-the-scenes show, EastEnders: Secrets From The Square, will air in the show's place during the transmission break and is hosted by television personality Stacey Dooley. The first episode of the week features exclusive interviews with the show's cast, while the second episode will be a repeat of "iconic" episodes of the show. Beginning on 22 June 2020, Dooley interviews two cast members together in the show's restaurant set while observing social distancing measures. Kate Phillips, the controller of BBC Entertainment, explained that EastEnders: Secrets From The Square would be the "perfect opportunity to celebrate the show" in the absence of the show. Jon Sen, the show's executive producer, expressed his excitement at the new series, dubbing it "a unique opportunity to see from the cast themselves just what it is like to be part of EastEnders". The EastEnders: Iconic Episodes series consisted of 9 episodes: Den & Angie, Sharongate, Amira & Syed's Wedding (Part 2), Walford Pride, Pat & Peggy, Who Killed Lucy Beale? 30th Anniversary, Max & Stacey, Shirley Confesses and Pat & Frank's Affair. Plans for the show's return to transmission were announced on 12 June 2020. It was confirmed that after the transmission break, the show would temporarily broadcast four 20-minute episodes per week, until it can return to its normal output. Sen explained that the challenges in production and filming of the show has led to the show's reduced output, but also stated that the crew had been "trialling techniques, filming methods and new ways of working" to prepare the show for its return. Filming recommenced on 29 June, with episodes airing from 7 September 2020. On 9 April 2021, following the death of Prince Philip, Duke of Edinburgh, the episode of EastEnders that was due to be aired that night was postponed along with the final of Masterchef. In May 2021, it was announced that from 14 June 2021, boxsets of episodes would be uploaded to BBC iPlayer each Monday for three weeks. Executive producer Sen explained that the bi-annual scheduling conflicts that the UEFA European Championship and the FIFA World Cup cause to the soap, premiering four episodes on the streaming service would be beneficial for fans of the show who want to watch at their own chosen pace. Sen also confirmed that the episodes will still air on BBC One throughout the week. The release of these boxsets was extended for a further five weeks, due to similar impacts caused by the 2020 Summer Olympics. On 12 October 2021, it was announced that EastEnders would partake in a special week-long crossover event involving multiple British soaps to promote the topic of climate change ahead of the 2021 United Nations Climate Change Conference. During the week, beginning from 1 November, a social media clip featuring Maria Connor from Coronation Street was featured on the programme while Cindy Cunningham from Hollyoaks was also referenced. Similar clips featuring the show's own characters (Bailey Baker and Peter Beale) were featured on Doctors and Emmerdale during the week. Setting The central focus of EastEnders is the fictional Victorian square Albert Square in the fictional London Borough of Walford. In the show's narrative, Albert Square is a 19th-century street, named after Prince Albert (1819–1861), the husband of Queen Victoria (1819–1901, reigned 1837–1901). Thus, central to Albert Square is The Queen Victoria Public House (also known as The Queen Vic or The Vic). The show's producers based the square's design on Fassett Square in Dalston. There is also a market close to Fassett Square at Ridley Road. The postcode for the area, E8, was one of the working titles for the series. The name Walford is both a street in Dalston where Tony Holland lived and a blend of Walthamstow and Stratford—the areas of Greater London where the creators were born. Other parts of the Square and set interiors are based on other locations. The bridge is based upon one near BBC Television Centre which carries the Hammersmith & City tube line over Wood Lane W12, the Queen Vic on the former College Park Hotel pub in Willesden at the end of Scrubs Lane at the junction with Harrow Road NW10 just a couple of miles from BBC Television Centre. Walford East is a fictional tube station for Walford, and a tube map that was first seen on air in 1996 showed Walford East between Bow Road and West Ham, in the actual location of Bromley-by-Bow on the District and Hammersmith & City lines. Walford has the postal district of E20. It was named as if Walford were part of the actual E postcode area which covers much of east London, the E standing for Eastern. E20 was entirely fictional when it was created, as London East postal districts stopped at E18 at the time. The show's creators opted for E20 instead of E19 as it was thought to sound better. In March 2011, Royal Mail allocated the E20 postal district to the 2012 Olympic Park. In September 2011, the postcode for Albert Square was revealed in an episode as E20 6PQ. Characters EastEnders is built around the idea of relationships and strong families, with each character having a place in the community. This theme encompasses the whole Square, making the entire community a family of sorts, prey to upsets and conflict, but pulling together in times of trouble. Co-creator Tony Holland was from a large East End family, and such families have typified EastEnders. The first central family was the combination of the Fowler family, consisting of Pauline Fowler (Wendy Richard), her husband Arthur (Bill Treacher), and teenage children Mark (David Scarboro/Todd Carty) and Michelle (Susan Tully). Pauline's family, the Beales, consisted of Pauline's twin brother Pete Beale (Peter Dean), his wife Kathy (Gillian Taylforth) and their teenage son Ian (Adam Woodyatt). Pauline and Pete's domineering mother Lou Beale (Anna Wing) lived with Pauline and her family. Holland drew on the names of his own family for the characters. The Watts and Mitchell families have been central to many notable EastEnders storylines, the show having been dominated by the Watts in the 1980s, with the 1990s focusing on the Mitchells. The early 2000s saw a shift in attention towards the newly introduced female Slater clan, before a renewal of emphasis upon the restored Watts family beginning in 2003. Since 2006, EastEnders has largely been dominated by the Mitchell, Ahmed and Branning families, though the early 2010s also saw a renewed focus on the Moon family, and, from 2013 onwards, on the Carters. In 2016, the Fowlers were revived and merged with the Slaters, with Martin Fowler (James Bye) marrying Stacey Slater (Lacey Turner). The Taylor family were introduced in 2017 and have since been central to the show's main storylines. Key people involved in the production of EastEnders have stressed how important the idea of strong families is to the programme.EastEnders has an emphasis on strong family matriarchs, with examples including Pauline Fowler (Wendy Richard) and Peggy Mitchell (Barbara Windsor), helping to attract a female audience. John Yorke, then the BBC's head of drama production, put this down to Tony Holland's "gay sensibility, which showed a love for strong women". The matriarchal role is one that has been seen in various reincarnations since the programme's inception, often depicted as the centre of the family unit. The original matriarch was Lou Beale (Anna Wing), though later examples include Mo Harris (Laila Morse), Pat Butcher (Pam St Clement), Zainab Masood (Nina Wadia), Cora Cross (Ann Mitchell), Kathy Beale (Gillian Taylforth), Jean Slater (Gillian Wright), and Suki Panesar (Balvinder Sopal). These characters are often seen as being loud and interfering but most importantly, responsible for the well-being of the family and usually stressing the importance of family. The show often includes strong, brassy, long-suffering women who exhibit diva-like behaviour and stoically battle through an array of tragedy and misfortune. Such characters include Angie Watts (Anita Dobson), Kathy Beale (Gillian Taylforth), Sharon Watts (Letitia Dean), Pat Butcher (Pam St Clement), Kat Slater (Jessie Wallace), Denise Fox (Diane Parish), Tanya Branning (Jo Joyner) and Linda Carter (Kellie Bright). Conversely there are female characters who handle tragedy less well, depicted as eternal victims and endless sufferers, who include Ronnie Mitchell (Samantha Womack), Little Mo Mitchell (Kacey Ainsworth), Laura Beale (Hannah Waterman), Sue Osman (Sandy Ratcliff), Lisa Fowler (Lucy Benjamin) and Mel Owen (Tamzin Outhwaite). The 'tart with a heart' is another recurring character. Often their promiscuity masks a hidden vulnerability and a desire to be loved. Such characters have included Pat Butcher (Pam St Clement) (though in her latter years, this changed), Tiffany Mitchell (Martine McCutcheon), Kat Slater (Jessie Wallace), Stacey Slater (Lacey Turner), Dawn Swann (Kara Tointon), Roxy Mitchell (Rita Simons), Whitney Dean (Shona McGarty) and Lauren Branning (Jacqueline Jossa). A gender balance in the show is maintained via the inclusion of various "macho" male personalities such as Mick Carter (Danny Dyer), Phil Mitchell (Steve McFadden), Grant Mitchell (Ross Kemp), Dennis Rickman (Nigel Harman), Jack Branning (Scott Maslen) and Max Branning (Jake Wood), "bad boys" such as Den Watts (Leslie Grantham), Sean Slater (Robert Kazinsky), Michael Moon (Steve John Shepherd) and Vincent Hubbard (Richard Blackwood), and "heartthrobs" such as Simon Wicks (Nick Berry), Jamie Mitchell (Jack Ryder), Dennis Rickman (Nigel Harman), Joey Branning (David Witts), Kush Kazemi (Davood Ghadami) and Keanu Taylor (Danny Walters). Another recurring male character type is the smartly dressed businessman, often involved in gang culture and crime and seen as a local authority figure. Examples include Steve Owen (Martin Kemp), Jack Dalton (Hywel Bennett), Andy Hunter (Michael Higgs), Johnny Allen (Billy Murray) and Derek Branning (Jamie Foreman). Following criticism aimed at the show's over-emphasis on "gangsters" in 2005, such characters have been significantly reduced. Another recurring male character seen in EastEnders is the 'loser' or 'soft touch', males often comically under the thumb of their female counterparts, which have included Arthur Fowler (Bill Treacher), Ricky Butcher (Sid Owen), Garry Hobbs (Ricky Groves), Lofty Holloway (Tom Watt) and Billy Mitchell (Perry Fenwick). Other recurring character types that have appeared throughout the serial are "cheeky-chappies" Pete Beale (Peter Dean), Alfie Moon (Shane Richie), Garry Hobbs (Ricky Groves) and Kush Kazemi (Davood Ghadami), "lost girls" such as Mary Smith (Linda Davidson), Donna Ludlow (Matilda Ziegler), Mandy Salter (Nicola Stapleton) and Hayley Slater (Katie Jarvis), delinquents such as Stacey Slater (Lacey Turner), Jay Brown (Jamie Borthwick), Lola Pearce (Danielle Harold), Bobby Beale (Eliot Carrington/Clay Milner Russell) and Keegan Baker (Zack Morris), "villains" such as Nick Cotton (John Altman), Trevor Morgan (Alex Ferns), May Wright (Amanda Drew), Yusef Khan (Ace Bhatti), Archie Mitchell (Larry Lamb), Dean Wicks (Matt Di Angelo) and Stuart Highway (Ricky Champ), "bitches" such as Cindy Beale (Michelle Collins), Janine Butcher (Charlie Brooks), Sam Mitchell (Danniella Westbrook), Lucy Beale (Melissa Suffield/Hetti Bywater), Abi Branning (Lorna Fitzgerald), Babe Smith (Annette Badland) and Louise Mitchell (Tilly Keeper), "brawlers" or "fighters" such as Bianca Jackson (Patsy Palmer), Kat Slater (Jessie Wallace), Chelsea Fox (Tiana Benjamin), Dawn Swann (Kara Tointon), Stacey Slater (Lacey Turner) and Karen Taylor (Lorraine Stanley), and cockney "wide boys" or "wheeler dealers" such as Frank Butcher (Mike Reid), Alfie Moon (Shane Richie), Kevin Wicks (Phil Daniels), Darren Miller (Charlie G. Hawkins), Fatboy (Ricky Norwood) and Jay Brown (Jamie Borthwick). Over the years EastEnders has typically featured a number of elderly residents, who are used to show vulnerability, nostalgia, stalwart-like attributes and are sometimes used for comedic purposes. The original elderly residents included Lou Beale (Anna Wing), Ethel Skinner (Gretchen Franklin) and Dot Cotton (June Brown). Over the years they have been joined by the likes of Mo Butcher (Edna Doré), Jules Tavernier (Tommy Eytle), Marge Green (Pat Coombs), Nellie Ellis (Elizabeth Kelly), Jim Branning (John Bardon), Charlie Slater (Derek Martin), Mo Harris (Laila Morse), Patrick Trueman (Rudolph Walker), Cora Cross (Ann Mitchell), Les Coker (Roger Sloman), Rose Cotton (Polly Perkins), Pam Coker (Lin Blakley), Stan Carter (Timothy West), Babe Smith (Annette Badland), Claudette Hubbard (Ellen Thomas), Sylvie Carter (Linda Marlowe), Ted Murray (Christopher Timothy), Joyce Murray (Maggie Steed), Arshad Ahmed (Madhav Sharma), Mariam Ahmed (Indira Joshi) and Vi Highway (Gwen Taylor). The programme has more recently included a higher number of teenagers and successful young adults in a bid to capture the younger television audience. This has spurred criticism, most notably from the actress Anna Wing, who portrayed Lou Beale in the show. She commented, "I don't want to be disloyal, but I think you need a few mature people in a soap because they give it backbone and body... if all the main people are young it gets a bit thin and inexperienced. It gets too lightweight."EastEnders has been known to feature a 'comedy double-act', originally demonstrated with the characters of Dot and Ethel, whose friendship was one of the serial's most enduring. Other examples include Paul Priestly (Mark Thrippleton) and Trevor Short (Phil McDermott), In 1989 especially, characters were brought in who were deliberately conceived as comic or light-hearted. Such characters included Julie Cooper (Louise Plowright)—a brassy maneater; Marge Green—a batty older lady played by veteran comedy actress Pat Coombs; Trevor Short (Phil McDermott)—the "village idiot"; his friend, northern heartbreaker Paul Priestly (Mark Thrippleton); wheeler-dealer Vince Johnson (Hepburn Graham) and Laurie Bates (Gary Powell), who became Pete Beale's (Peter Dean) sparring partner. The majority of EastEnders characters are working-class. Middle-class characters do occasionally become regulars, but have been less successful and rarely become long-term characters. In the main, middle-class characters exist as villains, such as James Wilmott-Brown (William Boyde), May Wright (Amanda Drew), Stella Crawford (Sophie Thompson), Yusef Khan (Ace Bhatti) and Gray Atkins (Toby-Alexander Smith) or are used to promote positive liberal influences, such as Colin Russell (Michael Cashman) or Rachel Kominski (Jacquetta May).EastEnders has always featured a culturally diverse cast which has included black, Asian, Turkish, Polish and Latvian characters. "The expansion of minority representation signals a move away from the traditional soap opera format, providing more opportunities for audience identification with the characters and hence a wider appeal". Despite this, the programme has been criticised by the Commission for Racial Equality, who argued in 2002 that EastEnders was not giving a realistic representation of the East End's "ethnic make-up". They suggested that the average proportion of visible minority faces on EastEnders was substantially lower than the actual ethnic minority population in East London boroughs, and it therefore reflected the East End in the 1960s, not the East End of the 2000s. The programme has since attempted to address these issues. A sari shop was opened and various characters of different ethnicities were introduced throughout 2006 and 2007, including the Fox family, the Ahmeds, and various background artists. This was part of producer Diederick Santer's plan to "diversify", to make EastEnders "feel more 21st century". EastEnders has had varying success with ethnic minority characters. Possibly the least successful were the Indian Ferreira family, who were not well received by critics or viewers and were dismissed as unrealistic by the Asian community in the UK.EastEnders has been praised for its portrayal of characters with disabilities, including Adam Best (David Proud) (spina bifida), Noah Chambers (Micah Thomas) (deaf), Jean Slater (Gillian Wright) and her daughter Stacey (Lacey Turner) (bipolar disorder), Janet Mitchell (Grace) (Down syndrome), Jim Branning (John Bardon) (stroke) and Dinah Wilson (Anjela Lauren Smith) (multiple sclerosis). The show also features a large number of gay, lesbian and bisexual characters (see list of soap operas with LGBT characters), including Colin Russell (Michael Cashman), Barry Clark (Gary Hailes), Simon Raymond (Andrew Lynford), Tony Hills (Mark Homer), Sonia Fowler (Natalie Cassidy), Naomi Julien (Petra Letang), Tina Carter (Luisa Bradshaw-White), Tosh Mackintosh (Rebecca Scroggs), Ben Mitchell (Harry Reid/Max Bowden), Paul Coker (Jonny Labey), Iqra Ahmed (Priya Davdra), Ash Kaur (Gurlaine Kaur Garcha), and Callum "Halfway" Highway (Tony Clay). Kyle Slater (Riley Carter Millington), a transgender character, was introduced in 2015.EastEnders has a high cast turnover and characters are regularly changed to facilitate storylines or refresh the format. The show has also become known for the return of characters after they have left the show. Sharon Watts (Letitia Dean) returned in August 2012 for her third stint on the show. Den Watts (Leslie Grantham) returned 14 years after he was believed to have died, a feat repeated by Kathy Beale (Gillian Taylforth) in 2015. Speaking extras, including Tracey the barmaid (Jane Slaughter) (who has been in the show since the first episode in 1985), have made appearances throughout the show's duration, without being the focus of any major storylines. The character of Nick Cotton (John Altman) gained a reputation for making constant exits and returns since the programme's first year, until the character's death in 2015. , Adam Woodyatt, Gillian Taylforth and Letitia Dean are the only members of the original cast remaining in the show, in their roles of Ian Beale, Kathy Beale and Sharon Watts respectively. Ian Beale is the only character to have appeared continuously from the first episode without formally leaving, and is the longest-serving character in EastEnders. Tracey the barmaid is the longest-serving female character in the show, having appeared since 1985, albeit as a minor character. Storylines EastEnders programme makers took the decision that the show was to be about "everyday life" in the inner city "today" and regarded it as a "slice of life". Creator/producer Julia Smith declared that "We don't make life, we reflect it". She also said, "We decided to go for a realistic, fairly outspoken type of drama which could encompass stories about homosexuality, rape, unemployment, racial prejudice, etc., in a believable context. Above all, we wanted realism". In 2011, the head of BBC drama, John Yorke, said that the real East End had changed significantly since EastEnders started, and the show no longer truly reflected real life, but that it had an "emotional truthfulness" and was partly "true to the original vision" and partly "adapt[ing] to a changing world", adding that "If it was a show where every house cost a fortune and everyone drove a Lexus, it wouldn't be EastEnders. You have to show shades of that change, but certain things are immutable, I would argue, like The Vic and the market." In the 1980s, EastEnders featured "gritty" storylines involving drugs and crime, representing the issues faced by working-class Britain under Thatcherism. Storylines included the cot death of 14-month-old Hassan Osman, Nick Cotton's (John Altman) homophobia, racism and murder of Reg Cox (Johnnie Clayton), Arthur Fowler's (Bill Treacher) unemployment reflecting the recession of the 1980s, the rape of Kathy Beale (Gillian Taylforth) in 1988 by James Willmott-Brown (William Boyde) and Michelle Fowler's (Susan Tully) teenage pregnancy. The show also dealt with prostitution, mixed-race relationships, shoplifting, sexism, divorce, domestic violence and mugging. In 1989, the programme came under criticism in the British media for being too depressing, and according to writer Colin Brake, the programme makers were determined to change this. In 1989, there was a deliberate attempt to increase the lighter, more comic aspects of life in Albert Square. This led to the introduction of some characters who were deliberately conceived as comic or light-hearted. Brake suggested that humour was an important element in EastEnders storylines during 1989, with a greater amount of slapstick and light comedy than before. He classed 1989's changes as a brave experiment, and suggested that while some found this period of EastEnders entertaining, many other viewers felt that the comedy stretched the programme's credibility. Although the programme still covered many issues in 1989, such as domestic violence, drugs, rape and racism, Brake reflected that the new emphasis on a more balanced mix between "light and heavy storylines" gave the illusion that the show had lost a "certain edge". As the show progressed into the 1990s, EastEnders still featured hard-hitting issues such as Mark Fowler (Todd Carty) revealing he was HIV positive in 1991, the death of his wife Gill (Susanna Dawson) from an AIDS-related illness in 1992, murder, adoption, abortion, Peggy Mitchell's (Barbara Windsor) battle with breast cancer, and Phil Mitchell's (Steve McFadden) alcoholism and violence towards wife Kathy. Mental health issues were confronted in 1996 when 16-year-old Joe Wicks developed schizophrenia following the off-screen death of his sister in a car crash. The long-running storyline of Mark Fowler's HIV was so successful in raising awareness that in 1999, a survey by the National Aids Trust found teenagers got most of their information about HIV from the soap, though one campaigner noted that in some ways the storyline was not reflective of what was happening at the time as the condition was more common among the gay community. Still, heterosexual Mark struggled with various issues connected to his HIV status, including public fears of contamination, a marriage breakdown connected to his inability to have children and the side effects of combination therapies. In the early 2000s, EastEnders covered the issue of euthanasia with Ethel Skinner's (Gretchen Franklin) death in a pact with her friend Dot Cotton (June Brown), the unveiling of Kat Slater's (Jessie Wallace) sexual abuse by her uncle Harry (Michael Elphick) as a child (which led to the birth of her daughter Zoe (Michelle Ryan), who had been brought up to believe that Kat was her sister), the domestic abuse of Little Mo Morgan (Kacey Ainsworth) by husband Trevor (Alex Ferns) (which involved marital rape and culminated in Trevor's death after he tried to kill Little Mo in a fire), Sonia Jackson (Natalie Cassidy) giving birth at the age of 15 and then putting her baby up for adoption, and Janine Butcher's (Charlie Brooks) prostitution, agoraphobia and drug addiction. The soap also tackled the issue of mental illness and carers of people who have mental conditions, illustrated with mother and daughter Jean (Gillian Wright) and Stacey Slater (Lacey Turner); Jean suffers from bipolar disorder, and teenage daughter Stacey was her carer (this storyline won a Mental Health Media Award in September 2006). Stacey went on to struggle with the disorder herself. The issue of illiteracy was highlighted by the characters of middle-aged Keith (David Spinx) and his young son Darren (Charlie G. Hawkins). EastEnders has also covered the issue of Down syndrome, as Billy (Perry Fenwick) and Honey Mitchell's (Emma Barton) baby, Janet Mitchell (Grace), was born with the condition in 2006. EastEnders covered child abuse with its storyline involving Phil Mitchell's (Steve McFadden) 11-year-old son Ben (Charlie Jones) and lawyer girlfriend Stella Crawford (Sophie Thompson), and child grooming involving the characters Tony King (Chris Coghill) as the perpetrator and Whitney Dean (Shona McGarty) as the victim. Aside from this, soap opera staples of youthful romance, jealousy, domestic rivalry, gossip and extramarital affairs are regularly featured, with high-profile storylines occurring several times a year. Whodunits also feature regularly, including the "Who Shot Phil?" story arc in 2001 that attracted over 19 million viewers and was one of the biggest successes in British soap television; the "Who Killed Archie?" storyline, which was revealed in a special live episode of the show that drew a peak of 17 million viewers; and the "Who Killed Lucy Beale?" saga. Production Set The exterior set for the fictional Albert Square is located in the permanent backlot of the BBC Elstree Centre, Borehamwood, Hertfordshire, at , and is outdoors and open to the weather. It was initially built in 1984 with a specification that it should last for at least 15 years at a cost of £750,000. The EastEnders lot was designed by Keith Harris, who was a senior designer within the production team together with supervising art directors Peter Findley and Gina Parr. The main buildings on the square consisted originally of hollow shells, constructed from marine plywood facades mounted onto steel frames. The lower walls, pavements, etc., were constructed of real brick and tarmac. The set had to be made to look as if it had been standing for years. This was done by a number of means, including chipping the pavements, using chemicals to crack the top layer of the paint work, using varnish to create damp patches underneath the railway bridge, and making garden walls in such a way they appeared to sag. The final touches were added in summer 1984, these included a telephone box, telegraph pole that was provided by British Telecom, lampposts that were provided by Hertsmere Borough Council and a number of vehicles parked on the square. On each set all the appliances are fully functional such as gas cookers, the laundry washing machines and The Queen Victoria beer pumps. The walls were intentionally built crooked to give them an aged appearance. The drains around the set are real so rainwater can naturally flow from the streets. The square was built in two phases with only three sides being built, plus Bridge Street, to begin with in 1984, in time to be used for the show's first episode. Then in 1986, Harris added an extension to the set, building the fourth side of Albert Square, and in 1987, Turpin Road began to be featured more, which included buildings such as The Dagmar. In 1993, George Street was added, and soon after Walford East Underground station was built, to create further locations when EastEnders went from two to three episodes per week. The set was constructed by the BBC in-house construction department under construction manager Mike Hagan. Most of the buildings on Albert Square have no interior filming space, with a few exceptions, and most do not have rears or gardens. Some interior shots are filmed in the actual buildings. In February 2008, it was reported that the set would transfer to Pinewood Studios in Buckinghamshire, where a new set would be built as the set was looking "shabby", with its flaws showing up on high-definition television broadcasts. However, by April 2010 a follow-up report confirmed that Albert Square would remain at Elstree Studios for at least another four years, taking the set through its 25th anniversary. The set was consequently rebuilt for high definition on the same site, using mostly real brick with some areas using a new improved plastic brick. Throughout rebuilding filming would still take place, and so scaffolding was often seen on screen during the process, with some storylines written to accommodate the rebuilding, such as the Queen Vic fire. In 2014, then executive producer Dominic Treadwell-Collins said that he wanted Albert Square to look like a real-life east London neighbourhood so that the soap would "better reflect the more fashionable areas of east London beloved of young professionals" giving a flavour of the "creeping gentrification" of east London. He added: "It should feel more like London. It's been frozen in aspic for too long." The BBC announced that they would rebuild the EastEnders set to secure the long-term future of the show, with completion expected to be in 2018. The set will provide a modern, upgraded exterior filming resource for EastEnders, and will copy the appearance of the existing buildings. However, it will be 20 per cent bigger, in order to enable greater editorial ambition and improve working conditions for staff. A temporary set will be created on-site to enable filming to continue while the permanent structure is rebuilt. In May 2016 the rebuild was delayed until 2020 and forecast to cost in excess of £15 million, although the main part of the set is scheduled to be able to start filming in May 2019. In December 2018, it was revealed that the new set was now planned to cost £59 million but a National Audit Office (NAO) report stated that it would actually cost £86.7 million and be completed two-and-a-half years later than planned, in 2023; the NAO concluded that the BBC "could not provide value for money on the project". The NAO's forecast cost is more than the annual combined budget for BBC Radio 1 and Radio 2. The BBC said the new set would allow for HD filming and better reflect the modern East End of London. In March 2019 there was criticism from a group of MPs about how the BBC handled the redevelopment of the set. In March 2020 during the suspension of filming, the interior sets were used for a new adaptation of Talking Heads. This marked the first time that it had been used for anything other than EastEnders. In January 2022 the new £86.7m exterior set of EastEnders was officially unveiled by the BBC replacing the original set built in 1984. The new scenes from the new set will first appear from new episodes airing in spring. Filming The majority of EastEnders episodes are filmed at the BBC Elstree Centre in Borehamwood, Hertfordshire. In January 1987, EastEnders had three production teams each comprising a director, production manager, production assistant and assistant floor manager. Other permanent staff included the producer's office, script department and designer, meaning between 30 and 35 people would be working full-time on EastEnders, rising to 60 to 70 on filming days. When the number of episodes was increased to four per week, more studio space was needed, so Top of the Pops was moved from its studio at Elstree to BBC Television Centre in April 2001. Episodes are produced in "quartets" of four episodes, each of which starts filming on a Tuesday and takes nine days to record. Each day, between 25 and 30 scenes are recorded. During the filming week, actors can film for as many as eight to twelve episodes. Exterior scenes are filmed on a specially constructed film lot, and interior scenes take place in six studios. The episodes are usually filmed about six to eight weeks in advance of broadcast. During the winter period, filming can take place up to twelve weeks in advance, due to less daylight for outdoor filming sessions. This time difference has been known to cause problems when filming outdoor scenes. On 8 February 2007, heavy snow fell on the set and filming had to be cancelled as the scenes due to be filmed on the day were to be transmitted in April. EastEnders is normally recorded using four cameras. When a quartet is completed, it is edited by the director, videotape editor and script supervisor. The producer then reviews the edits and decides if anything needs to be re-edited, which the director will do. A week later, sound is added to the episodes and they are technically reviewed, and are ready for transmission if they are deemed of acceptable quality. Although episodes are predominantly recorded weeks before they are broadcast, occasionally, EastEnders includes current events in their episodes. In 1987, EastEnders covered the general election. Using a plan devised by co-creators Smith and Holland, five minutes of material was cut from four of the pre-recorded episodes preceding the election. These were replaced by specially recorded election material, including representatives from each major party, and a scene recorded on the day after the election reflecting the result, which was broadcast the following Tuesday. The result of the 2010 general election was referenced on 7 May 2010 episode. During the 2006 FIFA World Cup, actors filmed short scenes following the tournament's events that were edited into the programme in the following episode. Last-minute scenes have also been recorded to reference the fiftieth anniversary of the end of the Second World War in 1995, the two-minute silence on Remembrance Day 2005 (2005 also being the year for the sixtieth anniversary of the end of the Second World War and the 200th anniversary of the Battle of Trafalgar), Barack Obama's election victory in 2008, the death of Michael Jackson in 2009, the 2010 Comprehensive Spending Review, Andy Murray winning the Men's Singles at the 2013 Wimbledon Championships, the wedding of Prince William and Kate Middleton, the birth of Prince George of Cambridge, Scotland voting no against independence in 2014, and the 100th anniversary of the beginning of the Great War.EastEnders is often filmed on location, away from the studios in Borehamwood. Sometimes an entire quartet is filmed on location, which has a practical function and are the result of EastEnders making a "double bank", when an extra week's worth of episodes are recorded at the same time as the regular schedule, enabling the production of the programme to stop for a two-week break at Christmas. These episodes often air in late June or early July and again in late October or early November. The first time this happened was in December 1985 when Pauline (Wendy Richard) and Arthur Fowler (Bill Treacher) travelled to the Southend-on-Sea to find their son Mark, who had run away from home. In 1986, EastEnders filmed overseas for the first time, in Venice, and this was also the first time it was not filmed on videotape, as a union rule at the time prevented producers taking a video crew abroad and a film crew had to be used instead. In 2011, it was reported that eight per cent of the series is filmed on location. If scenes during a normal week are to be filmed on location, this is done during the normal recording week. Off-set locations that have been used for filming include Clacton (1989), Devon (September 1990), Hertfordshire (used for scenes set in Gretna Green in July 1991), Portsmouth (November 1991), Milan (1997), Ireland (1997), Amsterdam (December 1999), Brighton (2001) and Portugal (2003). In 2003, filming took place at Loch Fyne Hotel and Leisure Club in Inveraray, The Arkinglass Estate in Cairndow and Grims Dyke Hotel, Harrow Weald, north London, for a week of episodes set in Scotland. The episode shown on 9 April 2007 featured scenes filmed at St Giles Church and The Blacksmiths Arms public house in Wormshill, the Ringlestone Inn, two miles away and Court Lodge Farm in Stansted, Kent. and the Port of Dover, Kent. . Other locations have included the court house, a disused office block, Evershed House, and St Peter's Church, all in St Albans, an abandoned mental facility in Worthing, and a wedding dress shop in Muswell Hill, north London. A week of episodes in 2011 saw filming take place on a beach in Thorpe Bay and a pier in Southend-on-Sea—during which a stuntman was injured when a gust of wind threw him off balance and he fell onto rocks— with other scenes filmed on the Essex coast. In 2012, filming took place in Keynsham, Somerset. In January 2013, on-location filming at Grahame Park in Colindale, north London, was interrupted by at least seven youths who threw a firework at the set and threatened to cut members of the crew. In October 2013, scenes were filmed on a road near London Southend Airport in Essex.EastEnders has featured seven live broadcasts. For its 25th anniversary in February 2010, a live episode was broadcast in which Stacey Slater (Lacey Turner) was revealed as Archie Mitchell's (Larry Lamb) killer. Turner was told only 30 minutes before the live episode and to maintain suspense, she whispers this revelation to former lover and current father-in-law, Max Branning, in the very final moments of the live show. Many other cast members only found out at the same time as the public, when the episode was broadcast. On 23 July 2012, a segment of that evening's episode was screened live as Billy Mitchell (Perry Fenwick) carried the Olympic Flame around Walford in preparation for the 2012 Summer Olympics. In February 2015, for the soap's 30th anniversary, five episodes in a week featured live inserts throughout them. Episodes airing on Tuesday 17, Wednesday 18 and Thursday 19 (which featured an hour long episode and a second episode) all featured at least one live insert. The show revealed that the killer of Lucy Beale (Hetti Bywater) was her younger brother, Bobby (Eliot Carrington), during the second episode on Thursday, after a ten-month mystery regarding who killed her. In a flashback episode which revisited the night of the murder, Bobby was revealed to have killed his sister. The aftermath episode, which aired on Friday 20, was completely live and explained in detail Lucy's death. Carrington was told he was Lucy's killer on Monday 16, while Laurie Brett (who plays Bobby's adoptive mother, Jane) was informed in November, due to the character playing a huge role in the cover-up of Lucy's murder. Bywater only discovered Bobby was responsible for Lucy's death on the morning of Thursday, 19 February, several hours before they filmed the scenes revealing Bobby as Lucy's killer. Post-production Each episode should run for 27 minutes and 15 seconds, however, if any episode runs over or under then it is the job of post-production to cut or add scenes where appropriate. As noted in the 1994 behind-the-scenes book, EastEnders: The First 10 Years, after filming, tapes were sent to the videotape editor, who then edited the scenes together into an episode. The videotape editor used the director's notes so they knew which scenes the director wanted to appear in a particular episode. The producer might have asked for further changes to be made. The episode was then copied onto D3 video. The final process was to add the audio which included background noise such as a train or a jukebox music and to check it met the BBC's technical standard for broadcasting. Since 2010, EastEnders no longer uses tapes in the recording or editing process. After footage is recorded, the material is sent digitally to the post-production team. The editors then assemble all the scenes recorded for the director to view and note any changes that are needed. The sound team also have the capability to access the edited episode, enabling them to dub the sound and create the final version. Budgets and costs According to the book How to Study Television, in 1995 EastEnders cost the BBC £40,000 per episode on average. A 2012 agreement between the BBC, the Writers' Guild of Great Britain and the Personal Managers' Association set out the pay rate for EastEnders scripts as £137.70 per minute of transmission time (£4,131 for 30 minutes), which is 85 per cent of the rate for scripts for other BBC television series. The writers would be paid 75 per cent of that fee for any repeats of the episode. In 2011, it was reported that actors receive a per-episode fee of between £400 and £1,200, and are guaranteed a certain number of episodes per year, perhaps as few as 30 or as many as 100, therefore annual salaries could range from £12,000 to £200,000 depending on the popularity of a character. Some actors' salaries were leaked in 2006, revealing that Natalie Cassidy (Sonia Fowler) was paid £150,000, Cliff Parisi (Minty Peterson) received £220,000, Barbara Windsor (Peggy Mitchell) and Steve McFadden (Phil Mitchell) each received £360,000 and Wendy Richard (Pauline Fowler) had a salary of £370,000. In 2017, it was revealed that Danny Dyer (Mick Carter) and Adam Woodyatt (Ian Beale) were the highest-paid actors in EastEnders, earning between £200,000 and £249,999, followed by Laurie Brett (Jane Beale), Letitia Dean (Sharon Watts), Tameka Empson (Kim Fox), Linda Henry (Shirley Carter), Scott Maslen (Jack Branning), Diane Parish (Denise Fox), Gillian Taylforth (Kathy Beale) and Lacey Turner (Stacey Slater), earning between £150,000 and £199,999. A 2011 report from the National Audit Office (NAO) showed that EastEnders had an annual budget of £29.9 million. Of that, £2.9 million was spent on scripts and £6.9 million went towards paying actors, extras and chaperones for child actors. According to the NAO, BBC executives approved £500,000 of additional funding for the 25th anniversary live episode (19 February 2010). With a total cost of £696,000, the difference was covered from the 2009–2010 series budget for EastEnders. When repeats and omnibus editions are shown, the BBC pays additional fees to cast and scriptwriters and incurs additional editing costs, which in the period 2009–2010, amounted to £5.5million. According to a Radio Times article for 212 episodes it works out at £141,000 per episode or 3.5p per viewer hour. Sustainability In 2014, two new studios were built and they were equipped with low-energy lighting which has saved approximately 90,000 kwh per year. A carbon literacy course was run with Heads of Departments of EastEnders attending and as a result, representatives from each department agreed to meet quarterly to share new sustainability ideas. The paper usage was reduced by 50 per cent across script distribution and other weekly documents and 20 per cent across all other paper usage. The production team now use recycled paper and recycled stationery. Also changes to working online has also saved transportation cost of distribution 2,500 DVDs per year. Sets, costumes, paste pots and paint are all recycled by the design department. Cars used by the studio are low emission vehicles and the production team take more efficient energy efficient generators out on location. Caterers no longer use polystyrene cups and recycling on location must be provided. As a result of EastEnders sustainability, it was awarded albert+, an award that recognises the production's commitment to becoming a more eco-friendly television production. The albert+ logo was first shown at the end of the EastEnders titles for episode 5281 on 9 May 2016. Scheduling Broadcast Since 1985, EastEnders has remained at the centre of BBC One's primetime schedule. From 2001 to 2022, it was broadcast at 7:30pm on Tuesday and Thursday, and 8pm on Monday and Friday. EastEnders was originally broadcast twice weekly at 7:00pm on Tuesdays and Thursdays from 19 February 1985. However, in September 1985 the two episodes were moved to 7:30pm as Michael Grade did not want the soap running in direct competition with Emmerdale Farm, and this remained the same until 7 April 1994. The BBC had originally planned to take advantage of the 'summer break' that Emmerdale Farm usually took to capitalise on ratings, but ITV added extra episodes and repeats so that Emmerdale Farm was not taken off the air over the summer. Realising the futility of the situation, Grade decided to move the show to the later 7:30pm slot.EastEnders output then increased to three times a week on Mondays, Tuesday and Thursdays from 11 April 1994 until 2 August 2001. From 10 August 2001, EastEnders then added its fourth episode (shown on Fridays). This caused some controversy as the first Friday episode clashed with Coronation Street, which was moved to 8pm to make way for an hour-long episode of rural soap Emmerdale. In this first head-to-head battle, EastEnders claimed victory over its rival. In early 2003, viewers could watch episodes of EastEnders on digital channel BBC Three before they were broadcast on BBC One. This was to coincide with the relaunch of the channel and helped BBC Three break the one million viewers mark for the first time with 1.03 million who watched to see Mark Fowler's departure. According to the EastEnders website, there are on average 208 episodes outputted each year. On 21 February 2022, it was announced that from 7 March 2022, EastEnders would begin airing from Monday to Thursday at 7:30pm, therefore no longer airing on a Friday. This meant that EastEnders would clash with Emmerdale, but the producers stated that due to the importance of online streaming figures, they were not concerned about the soaps clashing on the live television guides. Repeats The omnibus edition, a compilation of the week's episodes in a continuous sequence, originally aired on BBC One on Sunday afternoons, until 1 April 2012 when it was changed to a late Friday night or early Saturday morning slot, commencing 6 April 2012, though the exact time differed. It reverted to a weekend daytime slot as from January 2013 on BBC Two. In 2014, the omnibus moved back to around midnight on Friday nights, and in April 2015, the omnibus was axed, following detailed audience research and the introduction of 30-day catch up on BBC iPlayer and the planning of BBC One +1. The last omnibus on the BBC was shown on 24 April 2015. While W was showing same-day repeats of EastEnders, they also returned the weekend omnibus, starting on 20 February 2016. From 20 February to 26 May 1995, as part of the programme's 10th Anniversary celebrations, episodes from 1985 were repeated each weekday morning at 10am, starting from episode one. Four specially selected episodes from 1985, 1986 and 1987 were also repeated on BBC1 on Friday evenings at 8pm under the banner "The Unforgettable EastEnders". These included the wedding of Michelle Fowler and Lofty Holloway, the revelation of the father of Michelle's baby, a two-hander between Dot Cotton and Ethel Skinner and the 1986 Christmas episode featuring Den Watts presenting Angie Watts with divorce papers.EastEnders was regularly repeated at 10pm on BBC Choice from the channel's launch in 1998, a practice continued by BBC Three for many years until mid-2012 with the repeat moving to 10:30pm. From 25 December 2010 - 29 April 2011 and 31 July 2012 - 13 August 2012 to the show was repeated on BBC HD in a Simulcast with BBC Three. In 2015, the BBC Three repeat moved back to 10pm. In February 2016, the repeat moved to W, the rebranded Watch, after BBC Three became an online-only channel. W stopped showing EastEnders in April 2018. Episodes of EastEnders are available on-demand through BBC iPlayer for 30 days after their original screening. On 1 December 2012, the BBC uploaded the first 54 episodes of EastEnders to YouTube, and on 23 July 2013 they uploaded a further 14 episodes bringing the total to 68. These have since been taken down. In April 2018, it was announced that Drama would be showing repeats starting 6 August 2018 during weekdays and they are also available on-demand on the UKTV Play catch-up service for 30 days after the broadcast. In December 2019, Christmas episodes were added to Britbox UK. International EastEnders is broadcast around the world in many English-speaking countries. New Zealand became the first to broadcast EastEnders overseas, the first episode being shown on 27 September 1985. This was followed by the Netherlands on 8 December 1986, Australia on 5 January 1987, Norway on 27 April, and Barcelona on 30 June (dubbed into Catalan). On 9 July 1987, it was announced that the show would be aired in the United States on PBS. BBC Worldwide licensed 200 hours of EastEnders for broadcast in Serbia on RTS (dubbed into Serbian); it began airing the first episode in December 1997. The series was broadcast in the United States until BBC America ceased broadcasts of the serial in 2003, amidst fan protests. In June 2004, the satellite television provider Dish Network picked up EastEnders, broadcasting episodes starting at the point where BBC America had ceased broadcasting them, offering the series as a pay-per-view item. Episodes air two months behind the UK schedule. Episodes from prior years are still shown on various PBS stations in the US. Since 7 March 2017, EastEnders has been available in the United States on demand, 24 hours after it has aired in the United Kingdom via BritBox, a joint venture between BBC and ITV. The series was screened in Australia by ABC TV from 1987 until 1991. It is aired in Australia on Satellite & Streaming services on BBC UKTV, from Mondays to Thursdays 7:50pm–8:30pm with two advertisement breaks of five minutes each. Episodes are shown roughly one week after their UK broadcast. In New Zealand, it was shown by TVNZ on TVNZ 1 for several years, and then on Prime each weekday afternoon. It is shown on BBC UKTV from Mondays to Thursdays at 8pm. Episodes are roughly two weeks behind the UK.EastEnders is shown on BBC Entertainment (formerly BBC Prime) in Europe and in Africa, where it is approximately six episodes behind the UK. It was also shown on BBC Prime in Asia, but when the channel was replaced by BBC Entertainment, it ceased broadcasting the series. In Canada, EastEnders was shown on BBC Canada until 2010, at which point it was picked up by VisionTV. In Ireland, EastEnders was shown on TV3 from September 1998 until March 2001, when it moved over to RTÉ One, after RTÉ lost to TV3 the rights to air rival soap Coronation Street. Additionally, episodes of EastEnders are available on-demand through RTÉ Online for seven days after their original screening. International versions In 1991 the BBC sold the programme's format rights to a Dutch production company IDTV, the programme was renamed Het Oude Noorden (Translation: Old North). The Dutch version was re-written from already existing EastEnders scripts. The schedule remained the same as EastEnders twice weekly episodes, however some notable changes included the programme is now set in Rotterdam rather than London, characters are given Dutch names (Den and Angie became Ger and Ankie) and The Queen Victoria pub is renamed "Cade Faas". According to Barbara Jurgen who re-wrote the scripts for a Dutch audience he said "The power of the show is undeniable. The Scripts are full of hard, sharp drama, plus great one-liners which will translate well to Holland." The Dutch version began broadcasting on VARA 13 March 1993 but was cancelled after 20 episodes. Spin-offs and merchandise On 26 December 1988, the first EastEnders "bubble" was shown, titled "CivvyStreet". Since then, "Return of Nick Cotton" (2000), "Ricky & Bianca" (2002), "Dot's Story" (2003), "Perfectly Frank" (2003) and "Pat and Mo" (2004) have all been broadcast, each episode looking into lives of various characters and revealing part of their backstories or lives since leaving EastEnders. In 1993, the two-part story "Dimensions in Time", a charity cross-over with Doctor Who, was shown. In 1998, EastEnders Revealed was launched on BBC Choice (now BBC Three). The show takes a look behind the scenes of the EastEnders and investigates particular places, characters or families within EastEnders. An episode of EastEnders Revealed that was commissioned for BBC Three attracted 611,000 viewers. As part of the BBC's digital push, EastEnders Xtra was introduced in 2005. The show was presented by Angellica Bell and was available to digital viewers at 8:30 pm on Monday nights. It was also shown after the Sunday omnibus. The series went behind the scenes of the show and spoke to some of the cast members. A new breed of behind-the-scenes programmes have been broadcast on BBC Three since 1 December 2006. These are all documentaries related to current storylines in EastEnders, in a similar format to EastEnders Revealed, though not using the EastEnders Revealed name. In October 2009, a 12-part Internet spin-off series entitled EastEnders: E20 was announced. The series was conceived by executive producer Diederick Santer "as a way of nurturing new, young talent, both on- and off-screen, and exploring the stories of the soaps' anonymous bystanders." E20 features a group of sixth-form characters and targets the "Hollyoaks demographic". It was written by a team of young writers and was shown three times a week on the EastEnders website from 8 January 2010. A second 10-part series started in September 2010, with twice-weekly episodes available online and an omnibus on BBC Three. A third series of 15 episodes started in September 2011.EastEnders and rival soap opera Coronation Street took part in a crossover episode for Children in Need on 19 November 2010 called "East Street". On 4 April 2015, EastEnders confirmed plans for a BBC One series featuring Kat and Alfie Moon. The six-part drama, Kat & Alfie: Redwater, was created by executive producer Dominic Treadwell-Collins and his team. In the spin-off, the Moons visit Ireland where they "search for answers to some very big questions." Until its closure, BBC Store released 553 EastEnders episodes from various years, including the special episode "CivvyStreet", available to buy as digital downloads. Popularity and viewership An example of EastEnders popularity is that after episodes, electricity use in the United Kingdom rises significantly as viewers who have waited for the show to end begin boiling water for tea, a phenomenon known as TV pickup. Over five minutes, power demand rises by three GW, the equivalent of 1.5 to 1.75 million kettles. National Grid personnel watch the show to know when closing credits begin so they can prepare for the surge, asking for additional power from France if necessary. Ratings EastEnders is the BBC's most consistent programme in terms of ratings, and as of 2021, episodes typically receive between 4 and 6 million viewers. EastEnders two biggest ratings rivals are the ITV soaps Coronation Street and Emmerdale. The launch show in 1985 attracted 17.35 million viewers. 25 July 1985 was the first time the show's viewership rose to first position in the weekly top 10 shows for BBC One. The highest rated episode of EastEnders is the Christmas Day 1986 episode, which attracted a combined 30.15 million viewers who tuned into either the original transmission or the omnibus to see Den Watts hand over divorce papers to his wife Angie. This remains the highest rated episode of a soap in British television history. In 2001, EastEnders clashed with Coronation Street for the first time. EastEnders won the battle with 8.4 million viewers (41% share) whilst Coronation Street lagged behind with 7.3 million viewers (34% share). On 21 September 2004, Louise Berridge, the then executive producer, quit following criticism of the show. The following day the show received its lowest ever ratings at that time (6.2 million) when ITV scheduled an hour-long episode of Emmerdale against it. Emmerdale was watched by 8.1 million viewers. The poor ratings motivated the press into reporting viewers were bored with implausible and ill-thought-out storylines. Under new producers, EastEnders and Emmerdale continued to clash at times, and Emmerdale tended to come out on top, giving EastEnders lower than average ratings. In 2006, EastEnders regularly attracted between 8 and 12 million viewers in official ratings. EastEnders received its second lowest ratings on 17 May 2007, when 4.0 million viewers tuned in. This was also the lowest ever audience share, with just 19.6 per cent. This was attributed to a conflicting one-hour special episode of Emmerdale on ITV1. However, ratings for the 10pm EastEnders repeat on BBC Three reached an all-time high of 1.4 million. However, there have been times when EastEnders had higher ratings than Emmerdale despite the two going head-to-head. The ratings increased in 2010, thanks to the "Who Killed Archie?" storyline and second wedding of Ricky Butcher (Sid Owen) and Bianca Jackson (Patsy Palmer), and the show's first live episode on 19 February 2010. The live-episode averaged 15.6 million viewers, peaking at 16.6 million in the final five minutes of broadcast. In January 2010, the average audience was higher than that of Coronation Street for the first time in three years. During the 30th anniversary week in which there were live elements and the climax of the Who Killed Lucy Beale? storyline, 10.84 million viewers tuned in for the 30th anniversary episode itself in an hour long special on 19 February 2015 (peaking with 11.9 million). Later on in the same evening, a special flashback episode averaged 10.3 million viewers, and peaked with 11.2 million. The following day, the anniversary week was rounded off with another fully live episode (the second after 2010) with 9.97 million viewers watching the aftermath of the reveal, the Beale family finding out the truth of Lucy's killer and deciding to keep it a secret. Criticism EastEnders has received both praise and criticism for most of its storylines, which have dealt with difficult themes, such as violence, rape, murder and child abuse. Morality and violence Mary Whitehouse, social critic, argued at the time that EastEnders represented a violation of "family viewing time" and that it undermined the watershed policy. She regarded EastEnders as a fundamental assault on the family and morality itself. She made reference to representation of family life and emphasis on psychological and emotional violence within the show. She was also critical of language such as "bleeding", "bloody hell", "bastard" and "for Christ's sake". However, Whitehouse also praised the programme, describing Michelle Fowler's decision not to have an abortion as a "very positive storyline". She also felt that EastEnders had been cleaned up as a result of her protests, though she later commented that EastEnders had returned to its old ways. Her criticisms were widely reported in the tabloid press as ammunition in its existing hostility towards the BBC. The stars of Coronation Street in particular aligned themselves with Mary Whitehouse, gaining headlines such as "STREETS AHEAD! RIVALS LASH SEEDY EASTENDERS" and "CLEAN UP SOAP! Street Star Bill Lashes 'Steamy' EastEnders".EastEnders has been criticised for being too violent, most notably during a domestic violence storyline between Little Mo Morgan (Kacey Ainsworth) and her husband Trevor Morgan (Alex Ferns). As EastEnders is shown pre-watershed, there were worries that some scenes in this storyline were too graphic for its audience. Complaints against a scene in which Little Mo's face was pushed in gravy on Christmas Day were upheld by the Broadcasting Standards Council. However, a helpline after this episode attracted over 2000 calls. Erin Pizzey, who became internationally famous for having started one of the first women's refuges, said that EastEnders had done more to raise the issue of violence against women in one story than she had done in 25 years. The character of Phil Mitchell (played by Steve McFadden since early 1990) has been criticised on several occasions for glorifying violence and proving a bad role model to children. On one occasion following a scene in an episode broadcast in October 2002, where Phil brutally beat his godson, Jamie Mitchell (Jack Ryder), 31 complaints came from viewers. In 2003, cast member Shaun Williamson, who was in the final months of his role of Barry Evans, said that the programme had become much grittier over the past 10 to 15 years, and found it "frightening" that parents let their young children watch. In 2005, the BBC was accused of anti-religious bias by a House of Lords committee, who cited EastEnders as an example. Dr. Indarjit Singh, editor of the Sikh Messenger and patron of the World Congress of Faiths, said: "EastEnders Dot Cotton is an example. She quotes endlessly from the Bible and it ridicules religion to some extent." In July 2010, complaints were received following the storyline of Christian minister Lucas Johnson (Don Gilet) committing a number of murders that he believed was his duty to God, claiming that the storyline was offensive to Christians. In 2008, EastEnders, along with Coronation Street, was criticised by Martin McGuinness, then Northern Ireland's deputy first minister, for "the level of concentration around the pub" and the "antics portrayed in The [...] Queen Vic". In 2017, viewers complained on Twitter about scenes implying that Keanu Taylor (Danny Walters) is the father of his 15-year-old sister Bernadette Taylor's (Clair Norris) unborn baby, with the pair agreeing to keep the pregnancy secret from their mother, Karen Taylor (Lorraine Stanley). However, the baby's father is revealed as one of Bernadette's school friends. Allegations of national and racial stereotypes In 1997, several episodes were shot and set in Ireland, resulting in criticisms for portraying the Irish in a negatively stereotypical way. Ted Barrington, the Irish Ambassador to the UK at the time, described the portrayal of Ireland as an "unrepresentative caricature", stating he was worried by the negative stereotypes and the images of drunkenness, backwardness and isolation. Jana Bennett, the BBC's then director of production, later apologised for the episodes, stating on BBC1's news bulletin: "It is clear that a significant number of viewers have been upset by the recent episodes of EastEnders, and we are very sorry, because the production team and programme makers did not mean to cause any offence." A year later BBC chairman Christopher Bland admitted that as result of the Irish-set EastEnders episodes, the station failed in its pledge to represent all groups accurately and avoid reinforcing prejudice. In 2008, the show was criticised for stereotyping their Asian and Black characters, by having a black single mother, Denise Fox (Diane Parish), and an Asian shopkeeper, Zainab Masood (Nina Wadia). There has been criticism that the programme does not authentically portray the ethnic diversity of the population of East London, with the programme being 'twice as white' as the real East End. Controversial storylines In 1992, writer David Yallop successfully sued the BBC for £68,000 after it was revealed he had been hired by producer Mike Gibbon in 1989 to pen several controversial storylines in an effort to "slim down" the cast. However, after Gibbon left the programme, executive producers chose not to use Yallop's storylines, which put the BBC in breach of the contract Yallop had signed with them. Unused storylines penned by Yallop, which were revealed in the press during the trial, included the death of Cindy Beale's (Michelle Collins) infant son Steven; Sufia Karim (Rani Singh) being killed during a shotgun raid at the corner shop; Pauline Fowler (Wendy Richard) dying of undiscovered cancer; and an IRA explosion at the Walford community centre, killing Pete Beale (Peter Dean) and Diane Butcher (Sophie Lawrence), and leaving Simon Wicks (Nick Berry) paralysed below the waist. A suicide was also planned, but the character this storyline was assigned to was not revealed. Some storylines have provoked high levels of viewer complaints. In August 2006, a scene involving Carly Wicks (Kellie Shirley) and Jake Moon (Joel Beckett) having sex on the floor of Scarlet nightclub, and another scene involving Owen Turner (Lee Ross) violently attacking Denise Fox (Diane Parish), prompted 129 and 128 complaints, respectively. In March 2008, scenes showing Tanya Branning (Jo Joyner) and boyfriend, Sean Slater (Robert Kazinsky), burying Tanya's husband Max (Jake Wood) alive, attracted many complaints. The UK communications regulator Ofcom later found that the episodes depicting the storyline were in breach of the 2005 Broadcasting Code. They contravened the rules regarding protection of children by appropriate scheduling, appropriate depiction of violence before the 9 p.m. watershed and appropriate depiction of potentially offensive content. In September 2008, EastEnders began a grooming and paedophilia storyline involving characters Tony King (Chris Coghill), Whitney Dean (Shona McGarty), Bianca Jackson (Patsy Palmer), Lauren Branning (Madeline Duggan) and Peter Beale (Thomas Law). The storyline attracted over 200 complaints. In December 2010, Ronnie Branning (Samantha Womack) swapped her newborn baby, who died in cot, with Kat Moon's (Jessie Wallace) living baby. Around 3,400 complaints were received, with viewers branding the storyline "insensitive", "irresponsible" and "desperate". Roz Laws from the Sunday Mercury called the plot "shocking and ridiculous" and asked "are we really supposed to believe that Kat won't recognise that the baby looks different?" The Foundation for the Study of Infant Deaths (FSID) praised the storyline, and its director Joyce Epstein explained, "We are very grateful to EastEnders for their accurate depiction of the devastating effect that the sudden death of an infant can have on a family. We hope that this story will help raise the public's awareness of cot death, which claims 300 babies' lives each year." By 7 January, that storyline had generated the most complaints in show history: the BBC received about 8,500 complaints, and media regulator Ofcom received 374. Despite the controversy however, EastEnders pulled in rating highs of 9–10 million throughout the duration of the storyline. In October 2014, the BBC defended a storyline, after receiving 278 complaints about 6 October 2014 episode where pub landlady Linda Carter (Kellie Bright) was raped by Dean Wicks (Matt Di Angelo). On 17 November 2014 it was announced that Ofcom will investigate over the storyline. On 5 January 2015, the investigation was cleared by Ofcom. A spokesman of Ofcom said: "After carefully investigating complaints about this scene, Ofcom found the BBC took appropriate steps to limit offence to viewers. This included a warning before the episode and implying the assault, rather than depicting it. Ofcom also took into account the programme's role in presenting sometimes challenging or distressing social issues." Portrayal of certain professions In 2010, EastEnders came under criticism from the police for the way that they were portrayed during the "Who Killed Archie?" storyline. During the storyline, DCI Jill Marsden (Sophie Stanton) and DC Wayne Hughes (Jamie Treacher) talk to locals about the case and Hughes accepts a bribe. The police claimed that such scenes were "damaging" to their reputation and added that the character DC Deanne Cunningham (Zoe Henry) was "irritatingly inaccurate". In response to the criticism, EastEnders apologised for offending real life detectives and confirmed that they use a police consultant for such storylines. In October 2012, a storyline involving Lola Pearce (Danielle Harold), forced to hand over her baby Lexi Pearce, was criticised by the charity The Who Cares? Trust, who called the storyline an "unhelpful portrayal" and said it had already received calls from members of the public who were "distressed about the EastEnders scene where a social worker snatches a baby from its mother's arms". The scenes were also condemned by the British Association of Social Workers (BASW), calling the BBC "too lazy and arrogant" to correctly portray the child protection process, and saying that the baby was taken "without sufficient grounds to do so". Bridget Robb, acting chief of the BASW, said the storyline provoked "real anger among a profession well used to a less than accurate public and media perception of their jobs .. EastEnders shabby portrayal of an entire profession has made a tough job even tougher." Awards and nominations In popular culture Since its premiere in 1985, EastEnders has had a large impact on British popular culture. It has frequently been referred to in many different media, including songs and television programmes. Further reading Many books have been written about EastEnders. Notably, from 1985 to 1988, author and television writer Hugh Miller wrote 17 novels, detailing the lives of many of the show's original characters before 1985, when events on screen took place. Kate Lock also wrote four novels centred on more recent characters; Steve Owen (Martin Kemp), Grant Mitchell (Ross Kemp), Bianca Jackson (Patsy Palmer) and Tiffany Mitchell (Martine McCutcheon). Lock also wrote a character guide entitled Who's Who in EastEnders () in 2000, examining main characters from the first 15 years of the show. Show creators Julia Smith and Tony Holland also wrote a book about the show in 1987, entitled EastEnders: The Inside Story (), telling the story of how the show made it to screen. Two special anniversary books have been written about the show; EastEnders: The First 10 Years: A Celebration () by Colin Brake in 1995 and EastEnders: 20 Years in Albert Square'' () by Rupert Smith in 2005. See also East End of London in popular culture List of soap operas List of British television programmes List of most-watched television broadcasts List of television programmes broadcast by the BBC List of programmes broadcast by RTÉ List of programmes broadcast by TV3 Ireland List of programs broadcast by Showcase List of LGBT characters in soap operas List of television shows set in London List of television programs by episode count List of television programs by name Footnotes References Bibliography External links EastEnders at BBC Studios EastEnders at BBC Studioworks 1985 British television series debuts 1980s British television soap operas 1990s British television soap operas 2000s British television soap operas 2010s British television soap operas 2020s British television soap operas BAFTA winners (television series) BBC television dramas BBC television soap operas Television shows shot at BBC Elstree Centre English-language television shows Social realism Television productions suspended due to the COVID-19 pandemic Television shows set in London Television series impacted by the COVID-19 pandemic Television series by BBC Studios
10024
https://en.wikipedia.org/wiki/MDMA
MDMA
3,4-Methylenedioxymethamphetamine (MDMA), commonly known as ecstasy (E) or molly, is a psychoactive drug primarily used for recreational purposes. The desired effects include altered sensations, increased energy, empathy, as well as pleasure. When taken by mouth, effects begin in 30 to 45 minutes and last 3 to 6 hours. MDMA was first developed in 1912 by Merck. It was used to enhance psychotherapy beginning in the 1970s and became popular as a street drug in the 1980s. MDMA is commonly associated with dance parties, raves, and electronic dance music. It may be mixed with other substances such as ephedrine, amphetamine, and methamphetamine. In 2016, about 21 million people between the ages of 15 and 64 used ecstasy (0.3% of the world population). This was broadly similar to the percentage of people who use cocaine or amphetamines, but lower than for cannabis or opioids. In the United States, as of 2017, about 7% of people have used MDMA at some point in their lives and 0.9% have used it in the last year. Short-term adverse effects include grinding of the teeth, blurred vision, sweating and a rapid heartbeat, and extended use can also lead to addiction, memory problems, paranoia and difficulty sleeping. Deaths have been reported due to increased body temperature and dehydration. Following use, people often feel depressed and tired. MDMA acts primarily by increasing the activity of the neurotransmitters serotonin, dopamine and noradrenaline in parts of the brain. It belongs to the substituted amphetamine classes of drugs and has stimulant and hallucinogenic effects. MDMA is illegal in most countries and has limited approved medical uses in a small number of countries. In the United States, the Food and Drug Administration is currently evaluating the drug for clinical use. Canada has allowed limited distribution of MDMA and other psychedelics such as psilocybin upon application to and approval by Health Canada. Effects In general, MDMA users report feeling the onset of subjective effects within 30 to 60 minutes of oral consumption and reaching peak effect at 75 to 120 minutes, which then plateaus for about 3.5 hours. The desired short-term psychoactive effects of MDMA have been reported to include: Euphoria – a sense of general well-being and happiness Increased self-confidence, sociability, and perception of facilitated communication Entactogenic effects—increased empathy or feelings of closeness with others and oneself Dilated pupils Relaxation and reduced anxiety Increased emotionality A sense of inner peace Mild hallucination Enhanced sensation, perception, or sexuality Altered sense of time The experience elicited by MDMA depends on the dose, setting, and user. The variability of the induced altered state is lower compared to other psychedelics. For example, MDMA used at parties is associated with high motor activity, reduced sense of identity, and poor awareness of surroundings. Use of MDMA individually or in small groups in a quiet environment and when concentrating, is associated with increased lucidity, concentration, sensitivity to aesthetic aspects of the environment, enhanced awareness of emotions, and improved capability of communication. In psychotherapeutic settings, MDMA effects have been characterized by infantile ideas, mood lability, and memories and moods connected with childhood experiences. MDMA has been described as an "empathogenic" drug because of its empathy-producing effects. Results of several studies show the effects of increased empathy with others. When testing MDMA for medium and high doses, it showed increased hedonic and arousal continuum. The effect of MDMA increasing sociability is consistent, while its effects on empathy have been more mixed. Use Recreational MDMA is often considered the drug of choice within the rave culture and is also used at clubs, festivals, and house parties. In the rave environment, the sensory effects of music and lighting are often highly synergistic with the drug. The psychedelic amphetamine quality of MDMA offers multiple appealing aspects to users in the rave setting. Some users enjoy the feeling of mass communion from the inhibition-reducing effects of the drug, while others use it as party fuel because of the drug's stimulatory effects. MDMA is used less often than other stimulants, typically less than once per week. MDMA is sometimes taken in conjunction with other psychoactive drugs such as LSD, psilocybin mushrooms, 2C-B, and ketamine. The combination with LSD is called "candy-flipping". Medical , MDMA has no accepted medical indications. Before it was widely banned, it saw limited use in psychotherapy. In 2017 the United States Food and Drug Administration (FDA) approved limited research on MDMA-assisted psychotherapy for post-traumatic stress disorder (PTSD), with some preliminary evidence that MDMA may facilitate psychotherapy efficacy for PTSD. Other Small doses of MDMA are used by some religious practitioners as an entheogen to enhance prayer or meditation. MDMA has been used as an adjunct to New Age spiritual practices. Forms MDMA has become widely known as ecstasy (shortened "E", "X", or "XTC"), usually referring to its tablet form, although this term may also include the presence of possible adulterants or diluents. The UK term "mandy" and the US term "molly" colloquially refer to MDMA in a crystalline powder form that is thought to be free of adulterants. MDMA is also sold in the form of the hydrochloride salt, either as loose crystals or in gelcaps. MDMA tablets can sometimes be found in a shaped form that may depict characters from popular culture, likely for deceptive reasons. These are sometimes collectively referred to as "fun tablets". Partly due to the global supply shortage of sassafras oil—a problem largely assuaged by use of improved or alternative modern methods of synthesis—the purity of substances sold as molly have been found to vary widely. Some of these substances contain methylone, ethylone, MDPV, mephedrone, or any other of the group of compounds commonly known as bath salts, in addition to, or in place of, MDMA. Powdered MDMA ranges from pure MDMA to crushed tablets with 30–40% purity. MDMA tablets typically have low purity due to bulking agents that are added to dilute the drug and increase profits (notably lactose) and binding agents. Tablets sold as ecstasy sometimes contain 3,4-methylenedioxyamphetamine (MDA), 3,4-methylenedioxyethylamphetamine (MDEA), other amphetamine derivatives, caffeine, opiates, or painkillers. Some tablets contain little or no MDMA. The proportion of seized ecstasy tablets with MDMA-like impurities has varied annually and by country. The average content of MDMA in a preparation is 70 to 120 mg with the purity having increased since the 1990s. MDMA is usually consumed by mouth. It is also sometimes snorted. Adverse effects Short-term Acute adverse effects are usually the result of high or multiple doses, although single dose toxicity can occur in susceptible individuals. The most serious short-term physical health risks of MDMA are hyperthermia and dehydration. Cases of life-threatening or fatal hyponatremia (excessively low sodium concentration in the blood) have developed in MDMA users attempting to prevent dehydration by consuming excessive amounts of water without replenishing electrolytes. The immediate adverse effects of MDMA use can include: Dehydration Hyperthermia Bruxism (grinding and clenching of the teeth) Increased wakefulness or insomnia Increased perspiration and sweating Increased heart rate and blood pressure Increased psychomotor activity Loss of appetite Nausea and vomiting Diarrhea Erectile dysfunction Visual and auditory hallucinations (rarely) Other adverse effects that may occur or persist for up to a week following cessation of moderate MDMA use include: Physiological Trismus (lockjaw) Loss of appetite Insomnia Tiredness or lethargy Psychological Anxiety or paranoia Depression Irritability Impulsiveness Restlessness Memory impairment Anhedonia Administration of MDMA to mice causes DNA damage in their brain, especially when the mice are sleep deprived. Even at the very low doses that are comparable to those self-administered by humans, MDMA causes oxidative stress and both single and double-strand breaks in the DNA of the hippocampus region of the mouse brain. Long-term , the long-term effects of MDMA on human brain structure and function have not been fully determined. However, there is consistent evidence of structural and functional deficits in MDMA users with high lifetime exposure. There is no evidence of structural or functional changes in MDMA users with only a moderate (<50 doses used and <100 tablets consumed) lifetime exposure. Nonetheless, MDMA in moderate use may still be neurotoxic. Furthermore, it is not clear yet whether "typical" users of MDMA (1 to 2 pills of 75 to 125 mg MDMA or analogue every 1 to 4 weeks) will develop neurotoxic brain lesions. Long-term exposure to MDMA in humans has been shown to produce marked neurodegeneration in striatal, hippocampal, prefrontal, and occipital serotonergic axon terminals. Neurotoxic damage to serotonergic axon terminals has been shown to persist for more than two years. Elevations in brain temperature from MDMA use are positively correlated with MDMA-induced neurotoxicity. However, most studies on MDMA and serotonergic neurotoxicity in humans focus on the heaviest users, those who consume more than seven times the average. It is therefore possible that no serotonergic neurotoxicity is present in most casual users. Adverse neuroplastic changes to brain microvasculature and white matter also occur in humans using low doses of MDMA. Reduced gray matter density in certain brain structures has also been noted in human MDMA users. Global reductions in gray matter volume, thinning of the parietal and orbitofrontal cortices, and decreased hippocampal activity have been observed in long term users. The effects established so far for recreational use of ecstasy lie in the range of moderate to severe effects for serotonin transporter reduction. Impairments in multiple aspects of cognition, including attention, learning, memory, visual processing, and sleep have been found in regular MDMA users. The magnitude of these impairments is correlated with lifetime MDMA usage and are partially reversible with abstinence. Several forms of memory are impaired by chronic ecstasy use; however, the effects for memory impairments in ecstasy users are generally small overall. MDMA use is also associated with increased impulsivity and depression. Serotonin depletion following MDMA use can cause depression in subsequent days. In some cases, depressive symptoms persist for longer periods. Some studies indicate repeated recreational use of ecstasy is associated with depression and anxiety, even after quitting the drug. Depression is one of the main reasons for cessation of use. At high doses, MDMA induces a neuroimmune response that, through several mechanisms, increases the permeability of the blood-brain barrier, thereby making the brain more susceptible to environmental toxins and pathogens. In addition, MDMA has immunosuppressive effects in the peripheral nervous system and pro-inflammatory effects in the central nervous system. MDMA may increase the risk of cardiac valvulopathy in heavy or long-term users due to activation of serotonin 5-HT2B receptors. MDMA also induces cardiac epigenetic changes in DNA methylation, particularly hypermethylation changes. During pregnancy MDMA is a moderately teratogenic drug (i.e., it is toxic to the fetus). In utero exposure to MDMA is associated with a neuro- and cardiotoxicity and impaired motor functioning. Motor delays may be temporary during infancy or long-term. The severity of these developmental delays increases with heavier MDMA use. Reinforcement disorders Approximately 60% of MDMA users experience withdrawal symptoms when they stop taking MDMA. Some of these symptoms include fatigue, loss of appetite, depression, and trouble concentrating. Tolerance to some of the desired and adverse effects of MDMA is expected to occur with consistent MDMA use. A 2007 analysis estimated MDMA to have a psychological dependence and physical dependence potential roughly three-fourths to four-fifths that of cannabis. MDMA has been shown to induce ΔFosB in the nucleus accumbens. Because MDMA releases dopamine in the striatum, the mechanisms by which it induces ΔFosB in the nucleus accumbens are analogous to other dopaminergic psychostimulants. Therefore, chronic use of MDMA at high doses can result in altered brain structure and drug addiction that occur as a consequence of ΔFosB overexpression in the nucleus accumbens. MDMA is less addictive than other stimulants such as methamphetamine and cocaine. Compared with amphetamine, MDMA and its metabolite MDA are less reinforcing. One study found approximately 15% of chronic MDMA users met the DSM-IV diagnostic criteria for substance dependence. However, there is little evidence for a specific diagnosable MDMA dependence syndrome because MDMA is typically used relatively infrequently. There are currently no medications to treat MDMA addiction. Harm assessment A 2007 UK study ranked MDMA 18th in harmfulness out of 20 recreational drugs. Rankings for each drug were based on the risk for acute physical harm, the propensity for physical and psychological dependency on the drug, and the negative familial and societal impacts of the drug. The authors did not evaluate or rate the negative impact of ecstasy on the cognitive health of ecstasy users (e.g. impaired memory and concentration). Overdose MDMA overdose symptoms vary widely due to the involvement of multiple organ systems. Some of the more overt overdose symptoms are listed in the table below. The number of instances of fatal MDMA intoxication is low relative to its usage rates. In most fatalities, MDMA was not the only drug involved. Acute toxicity is mainly caused by serotonin syndrome and sympathomimetic effects. Sympathomimetic side effects can be managed with carvedilol. MDMA's toxicity in overdose may be exacerbated by caffeine, with which it is frequently cut in order to increase volume. A scheme for management of acute MDMA toxicity has been published focusing on treatment of hyperthermia, hyponatraemia, serotonin syndrome, and multiple organ failure. Interactions A number of drug interactions can occur between MDMA and other drugs, including serotonergic drugs. MDMA also interacts with drugs which inhibit CYP450 enzymes, like ritonavir (Norvir), particularly CYP2D6 inhibitors. Life-threatening reactions and death have occurred in people who took MDMA while on ritonavir. Concurrent use of MDMA high dosages with another serotonergic drug can result in a life-threatening condition called serotonin syndrome. Severe overdose resulting in death has also been reported in people who took MDMA in combination with certain monoamine oxidase inhibitors, such as phenelzine (Nardil), tranylcypromine (Parnate), or moclobemide (Aurorix, Manerix). Serotonin reuptake inhibitors such as citalopram (Celexa), duloxetine (Cymbalta), fluoxetine (Prozac), and paroxetine (Paxil) have been shown to block most of the subjective effects of MDMA. Norepinephrine reuptake inhibitors such as reboxetine (Edronax) have been found to reduce emotional excitation and feelings of stimulation with MDMA but don't appear to influence its entactogenic or mood-elevating effects. Pharmacology Monoamine transporters In humans, MDMA increases the amount of serotonin in the synaptic clefts of serotonergic neurons by inhibiting its uptake into neurons and by directly releasing it from the neurons. The released serotonin binds to various serotonin receptors and activates them in excess, which is the primary mechanism through which MDMA causes intoxication. MDMA also induces significant norepinephrine release. Extracellular MDMA binds to presynaptic serotonin (SERT), norepinephrine (NET) and dopamine transporters (DAT) as a reuptake inhibitor, so that they uptake less of their namesake monoamine neurotransmitters. The efficacy of MDMA inhibition is highest towards NET and SERT, and is much less towards DAT. As a result, more norepinephrine and serotonin remains in the synaptic cleft. These monoamine transporters (SERT, NET and DAT) reuptake their respective neurotransmitters via ion gradient. Normally there is a high extracellular sodium (Na+) and chloride (Cl–) ion concentration, and low potassium (K+) ion concentration in respect to intracellular concentrations. In each reuptake cycle, one monoamine, Na+ and Cl– are simultaneously taken inside the cell. One intracellular K+ is then transported outside the cell. In experimental situations, high extracellular K+ concentration can cause reverse transport. MDMA can substitute for K+ in this transport. Thus, high extracellular MDMA can reverse the transport. This reversal is most notable with SERT and NET, which results in direct serotonin and norepinephrine release in exchange for cellular uptake of MDMA. VMAT2 and other effects Intracellular MDMA binds to VMAT2-proteins on synaptic vesicles as an inhibitor. Each VMAT2 transports cytosolic monoamines into the vesicle by dissipating proton gradient across the vesicular membrane. Thus, VMAT2 inhibition results in more free cytosolic monoamines like serotonin in the case of serotonergic neurons. These monoamines can then be released via monoamine transporters, which have been reversed by MDMA (see below). Intracellular MDMA can also bind to monoamine oxidase A (MAO-A) as an inhibitor, and thus prevent it from breaking down cytosolic serotonin. However, this effect is not significant in humans. Cortisol, prolactin, and oxytocin quantities in blood serum are increased by MDMA. Receptor binding In humans, MDMA binds as an agonist to the following receptors: 5-HT1A-, 5-HT2A-, 5-HT2B- ja 5-HT2C-serotonin receptors α1-, α2A-, β-adrenergic receptors D1- ja D2-dopamine receptors M1- ja M2-muscarinic receptors H1-histamine receptor TA1-receptor (TAAR1) MDMA has two enantiomers, S-MDMA and R-MDMA. Mixture of the two (racemate) is typically used recreationally. S-MDMA causes the entactogenic effects of the racemate, because it releases serotonin, norepinephrine and dopamine much more efficiently via monoamine transporters. It also has higher affinity towards 5-HT2CR. R-MDMA has notable agonism towards 5-HT2AR, which supposedly contributes to the mild psychedelic hallucinations induced by high doses of MDMA in humans. MDMA racemate is a partial agonist towards human TAAR1, but this is not physiologically relevant due to low EC50. Relevant EC50 would be below 5 µM, but for humans it is 35 µM. However, the agonism is significant towards the TAAR1 of mice and rats (EC50 is 1–4 µM). Pharmacokinetics The MDMA concentration in the blood stream starts to rise after about 30 minutes, and reaches its maximal concentration in the blood stream between 1.5 and 3 hours after ingestion. It is then slowly metabolized and excreted, with levels of MDMA and its metabolites decreasing to half their peak concentration over the next several hours. The duration of action of MDMA is usually four to six hours, after which serotonin levels in the brain are depleted. Serotonin levels typically return to normal within 24–48 hours. Metabolites of MDMA that have been identified in humans include 3,4-methylenedioxyamphetamine (MDA), 4-hydroxy-3-methoxymethamphetamine (HMMA), 4-hydroxy-3-methoxyamphetamine (HMA), 3,4-dihydroxyamphetamine (DHA) (also called alpha-methyldopamine (α-Me-DA)), 3,4-methylenedioxyphenylacetone (MDP2P), and 3,4-Methylenedioxy-N-hydroxyamphetamine (MDOH). The contributions of these metabolites to the psychoactive and toxic effects of MDMA are an area of active research. 80% of MDMA is metabolised in the liver, and about 20% is excreted unchanged in the urine. MDMA is known to be metabolized by two main metabolic pathways: (1) O-demethylenation followed by catechol-O-methyltransferase (COMT)-catalyzed methylation and/or glucuronide/sulfate conjugation; and (2) N-dealkylation, deamination, and oxidation to the corresponding benzoic acid derivatives conjugated with glycine. The metabolism may be primarily by cytochrome P450 (CYP450) enzymes CYP2D6 and CYP3A4 and COMT. Complex, nonlinear pharmacokinetics arise via autoinhibition of CYP2D6 and CYP2D8, resulting in zeroth order kinetics at higher doses. It is thought that this can result in sustained and higher concentrations of MDMA if the user takes consecutive doses of the drug. MDMA and metabolites are primarily excreted as conjugates, such as sulfates and glucuronides. MDMA is a chiral compound and has been almost exclusively administered as a racemate. However, the two enantiomers have been shown to exhibit different kinetics. The disposition of MDMA may also be stereoselective, with the S-enantiomer having a shorter elimination half-life and greater excretion than the R-enantiomer. Evidence suggests that the area under the blood plasma concentration versus time curve (AUC) was two to four times higher for the (R)-enantiomer than the (S)-enantiomer after a 40 mg oral dose in human volunteers. Likewise, the plasma half-life of (R)-MDMA was significantly longer than that of the (S)-enantiomer (5.8 ± 2.2 hours vs 3.6 ± 0.9 hours). However, because MDMA excretion and metabolism have nonlinear kinetics, the half-lives would be higher at more typical doses (100 mg is sometimes considered a typical dose). Chemistry MDMA is in the substituted methylenedioxyphenethylamine and substituted amphetamine classes of chemicals. As a free base, MDMA is a colorless oil insoluble in water. The most common salt of MDMA is the hydrochloride salt; pure MDMA hydrochloride is water-soluble and appears as a white or off-white powder or crystal. Synthesis There are numerous methods available to synthesize MDMA via different intermediates. The original MDMA synthesis described in Merck's patent involves brominating safrole to 1-(3,4-methylenedioxyphenyl)-2-bromopropane and then reacting this adduct with methylamine. Most illicit MDMA is synthesized using MDP2P (3,4-methylenedioxyphenyl-2-propanone) as a precursor. MDP2P in turn is generally synthesized from piperonal, safrole or isosafrole. One method is to isomerize safrole to isosafrole in the presence of a strong base, and then oxidize isosafrole to MDP2P. Another method uses the Wacker process to oxidize safrole directly to the MDP2P intermediate with a palladium catalyst. Once the MDP2P intermediate has been prepared, a reductive amination leads to racemic MDMA (an equal parts mixture of (R)-MDMA and (S)-MDMA). Relatively small quantities of essential oil are required to make large amounts of MDMA. The essential oil of Ocotea cymbarum, for example, typically contains between 80 and 94% safrole. This allows 500 ml of the oil to produce between 150 and 340 grams of MDMA. Detection in body fluids MDMA and MDA may be quantitated in blood, plasma or urine to monitor for use, confirm a diagnosis of poisoning or assist in the forensic investigation of a traffic or other criminal violation or a sudden death. Some drug abuse screening programs rely on hair, saliva, or sweat as specimens. Most commercial amphetamine immunoassay screening tests cross-react significantly with MDMA or its major metabolites, but chromatographic techniques can easily distinguish and separately measure each of these substances. The concentrations of MDA in the blood or urine of a person who has taken only MDMA are, in general, less than 10% those of the parent drug. History Early research and use MDMA was first synthesized in 1912 by Merck chemist Anton Köllisch. At the time, Merck was interested in developing substances that stopped abnormal bleeding. Merck wanted to avoid an existing patent held by Bayer for one such compound: hydrastinine. Köllisch developed a preparation of a hydrastinine analogue, methylhydrastinine, at the request of fellow lab members, Walther Beckh and Otto Wolfes. MDMA (called methylsafrylamin, safrylmethylamin or N-Methyl-a-Methylhomopiperonylamin in Merck laboratory reports) was an intermediate compound in the synthesis of methylhydrastinine. Merck was not interested in MDMA itself at the time. On 24 December 1912, Merck filed two patent applications that described the synthesis and some chemical properties of MDMA and its subsequent conversion to methylhydrastinine. Merck records indicate its researchers returned to the compound sporadically. A 1920 Merck patent describes a chemical modification to MDMA. In 1927, Max Oberlin studied the pharmacology of MDMA while searching for substances with effects similar to adrenaline or ephedrine, the latter being structurally similar to MDMA. Compared to ephedrine, Oberlin observed that it had similar effects on vascular smooth muscle tissue, stronger effects at the uterus, and no "local effect at the eye". MDMA was also found to have effects on blood sugar levels comparable to high doses of ephedrine. Oberlin concluded that the effects of MDMA were not limited to the sympathetic nervous system. Research was stopped "particularly due to a strong price increase of safrylmethylamine", which was still used as an intermediate in methylhydrastinine synthesis. Albert van Schoor performed simple toxicological tests with the drug in 1952, most likely while researching new stimulants or circulatory medications. After pharmacological studies, research on MDMA was not continued. In 1959, Wolfgang Fruhstorfer synthesized MDMA for pharmacological testing while researching stimulants. It is unclear if Fruhstorfer investigated the effects of MDMA in humans. Outside of Merck, other researchers began to investigate MDMA. In 1953 and 1954, the United States Army commissioned a study of toxicity and behavioral effects in animals injected with mescaline and several analogues, including MDMA. Conducted at the University of Michigan in Ann Arbor, these investigations were declassified in October 1969 and published in 1973. A 1960 Polish paper by Biniecki and Krajewski describing the synthesis of MDMA as an intermediate was the first published scientific paper on the substance. MDMA may have been in non-medical use in the western United States in 1968. An August 1970 report at a meeting of crime laboratory chemists indicates MDMA was being used recreationally in the Chicago area by 1970. MDMA likely emerged as a substitute for its analog methylenedioxyamphetamine (MDA), a drug at the time popular among users of psychedelics which was made a Schedule 1 substance in the United States in 1970. Shulgin's research American chemist and psychopharmacologist Alexander Shulgin reported he synthesized MDMA in 1965 while researching methylenedioxy compounds at Dow Chemical Company, but did not test the psychoactivity of the compound at this time. Around 1970, Shulgin sent instructions for N-methylated MDA (MDMA) synthesis to the founder of a Los Angeles chemical company who had requested them. This individual later provided these instructions to a client in the Midwest. Shulgin may have suspected he played a role in the emergence of MDMA in Chicago. Shulgin first heard of the psychoactive effects of N-methylated MDA around 1975 from a young student who reported "amphetamine-like content". Around 30 May 1976, Shulgin again heard about the effects of N-methylated MDA, this time from a graduate student in a medicinal chemistry group he advised at San Francisco State University who directed him to the University of Michigan study. She and two close friends had consumed 100 mg of MDMA and reported positive emotional experiences. Following the self-trials of a colleague at the University of San Francisco, Shulgin synthesized MDMA and tried it himself in September and October 1976. Shulgin first reported on MDMA in a presentation at a conference in Bethesda, Maryland in December 1976. In 1978, he and David E. Nichols published a report on the drug's psychoactive effect in humans. They described MDMA as inducing "an easily controlled altered state of consciousness with emotional and sensual overtones" comparable "to marijuana, to psilocybin devoid of the hallucinatory component, or to low levels of MDA". While not finding his own experiences with MDMA particularly powerful, Shulgin was impressed with the drug's disinhibiting effects and thought it could be useful in therapy. Believing MDMA allowed users to strip away habits and perceive the world clearly, Shulgin called the drug window. Shulgin occasionally used MDMA for relaxation, referring to it as "my low-calorie martini", and gave the drug to friends, researchers, and others who he thought could benefit from it. One such person was Leo Zeff, a psychotherapist who had been known to use psychedelic substances in his practice. When he tried the drug in 1977, Zeff was impressed with the effects of MDMA and came out of his semi-retirement to promote its use in therapy. Over the following years, Zeff traveled around the United States and occasionally to Europe, eventually training an estimated four thousand psychotherapists in the therapeutic use of MDMA. Zeff named the drug Adam, believing it put users in a state of primordial innocence. Psychotherapists who used MDMA believed the drug eliminated the typical fear response and increased communication. Sessions were usually held in the home of the patient or the therapist. The role of the therapist was minimized in favor of patient self-discovery accompanied by MDMA induced feelings of empathy. Depression, substance use disorders, relationship problems, premenstrual syndrome, and autism were among several psychiatric disorders MDMA assisted therapy was reported to treat. According to psychiatrist George Greer, therapists who used MDMA in their practice were impressed by the results. Anecdotally, MDMA was said to greatly accelerate therapy. According to David Nutt, MDMA was widely used in the western US in couples counseling, and was called empathy. Only later was the term ecstasy used for it, coinciding with rising opposition to its use. Rising recreational use In the late 1970s and early 1980s, "Adam" spread through personal networks of psychotherapists, psychiatrists, users of psychedelics, and yuppies. Hoping MDMA could avoid criminalization like LSD and mescaline, psychotherapists and experimenters attempted to limit the spread of MDMA and information about it while conducting informal research. Early MDMA distributors were deterred from large scale operations by the threat of possible legislation. Between the 1970s and the mid-1980s, this network of MDMA users consumed an estimated 500,000 doses. A small recreational market for MDMA developed by the late 1970s, consuming perhaps 10,000 doses in 1976. By the early 1980s MDMA was being used in Boston and New York City nightclubs such as Studio 54 and Paradise Garage. Into the early 1980s, as the recreational market slowly expanded, production of MDMA was dominated by a small group of therapeutically minded Boston chemists. Having commenced production in 1976, this "Boston Group" did not keep up with growing demand and shortages frequently occurred. Perceiving a business opportunity, Michael Clegg, the Southwest distributor for the Boston Group, started his own "Texas Group" backed financially by Texas friends. In 1981, Clegg had coined "Ecstasy" as a slang term for MDMA to increase its marketability. Starting in 1983, the Texas Group mass-produced MDMA in a Texas lab or imported it from California and marketed tablets using pyramid sales structures and toll-free numbers. MDMA could be purchased via credit card and taxes were paid on sales. Under the brand name "Sassyfras", MDMA tablets were sold in brown bottles. The Texas Group advertised "Ecstasy parties" at bars and discos, describing MDMA as a "fun drug" and "good to dance to". MDMA was openly distributed in Austin and Dallas–Fort Worth area bars and nightclubs, becoming popular with yuppies, college students, and gays. Recreational use also increased after several cocaine dealers switched to distributing MDMA following experiences with the drug. A California laboratory that analyzed confidentially submitted drug samples first detected MDMA in 1975. Over the following years the number of MDMA samples increased, eventually exceeding the number of MDA samples in the early 1980s. By the mid-1980s, MDMA use had spread to colleges around the United States. Media attention and scheduling United States In an early media report on MDMA published in 1982, a Drug Enforcement Administration (DEA) spokesman stated the agency would ban the drug if enough evidence for abuse could be found. By mid-1984, MDMA use was becoming more noticed. Bill Mandel reported on "Adam" in a 10 June San Francisco Chronicle article, but misidentified the drug as methyloxymethylenedioxyamphetamine (MMDA). In the next month, the World Health Organization identified MDMA as the only substance out of twenty phenethylamines to be seized a significant number of times. After a year of planning and data collection, MDMA was proposed for scheduling by the DEA on 27 July 1984 with a request for comments and objections. The DEA was surprised when a number of psychiatrists, psychotherapists, and researchers objected to the proposed scheduling and requested a hearing. In a Newsweek article published the next year, a DEA pharmacologist stated that the agency had been unaware of its use among psychiatrists. An initial hearing was held on 1 February 1985 at the DEA offices in Washington, D.C. with administrative law judge Francis L. Young presiding. It was decided there to hold three more hearings that year: Los Angeles on 10 June, Kansas City, Missouri on 10–11 July, and Washington, D.C. on 8–11 October. Sensational media attention was given to the proposed criminalization and the reaction of MDMA proponents, effectively advertising the drug. In response to the proposed scheduling, the Texas Group increased production from 1985 estimates of 30,000 tablets a month to as many as 8,000 per day, potentially making two million ecstasy tablets in the months before MDMA was made illegal. By some estimates the Texas Group distributed 500,000 tablets per month in Dallas alone. According to one participant in an ethnographic study, the Texas Group produced more MDMA in eighteen months than all other distribution networks combined across their entire histories. By May 1985, MDMA use was widespread in California, Texas, southern Florida, and the northeastern United States. According to the DEA there was evidence of use in twenty-eight states and Canada. Urged by Senator Lloyd Bentsen, the DEA announced an emergency Schedule I classification of MDMA on 31 May 1985. The agency cited increased distribution in Texas, escalating street use, and new evidence of MDA (an analog of MDMA) neurotoxicity as reasons for the emergency measure. The ban took effect one month later on 1 July 1985 in the midst of Nancy Reagan's "Just Say No" campaign. As a result of several expert witnesses testifying that MDMA had an accepted medical usage, the administrative law judge presiding over the hearings recommended that MDMA be classified as a Schedule III substance. Despite this, DEA administrator John C. Lawn overruled and classified the drug as Schedule I. Harvard psychiatrist Lester Grinspoon then sued the DEA, claiming that the DEA had ignored the medical uses of MDMA, and the federal court sided with Grinspoon, calling Lawn's argument "strained" and "unpersuasive", and vacated MDMA's Schedule I status. Despite this, less than a month later Lawn reviewed the evidence and reclassified MDMA as Schedule I again, claiming that the expert testimony of several psychiatrists claiming over 200 cases where MDMA had been used in a therapeutic context with positive results could be dismissed because they weren't published in medical journals. No double blind studies had yet been conducted as to the efficacy of MDMA for therapy. In 2017, the FDA granted breakthrough therapy designation for its use with psychotherapy for PTSD. However, this designation has been questioned and problematized. United Nations While engaged in scheduling debates in the United States, the DEA also pushed for international scheduling. In 1985 the World Health Organization's Expert Committee on Drug Dependence recommended that MDMA be placed in Schedule I of the 1971 United Nations Convention on Psychotropic Substances. The committee made this recommendation on the basis of the pharmacological similarity of MDMA to previously scheduled drugs, reports of illicit trafficking in Canada, drug seizures in the United States, and lack of well-defined therapeutic use. While intrigued by reports of psychotherapeutic uses for the drug, the committee viewed the studies as lacking appropriate methodological design and encouraged further research. Committee chairman Paul Grof dissented, believing international control was not warranted at the time and a recommendation should await further therapeutic data. The Commission on Narcotic Drugs added MDMA to Schedule I of the convention on 11 February 1986. Post-scheduling The use of MDMA in Texas clubs declined rapidly after criminalization, although by 1991 the drug remained popular among young middle-class whites and in nightclubs. In 1985, MDMA use became associated with Acid House on the Spanish island of Ibiza. Thereafter in the late 1980s, the drug spread alongside rave culture to the UK and then to other European and American cities. Illicit MDMA use became increasingly widespread among young adults in universities and later, in high schools. Since the mid-1990s, MDMA has become the most widely used amphetamine-type drug by college students and teenagers. MDMA became one of the four most widely used illicit drugs in the US, along with cocaine, heroin, and cannabis. According to some estimates as of 2004, only marijuana attracts more first time users in the US. After MDMA was criminalized, most medical use stopped, although some therapists continued to prescribe the drug illegally. Later, Charles Grob initiated an ascending-dose safety study in healthy volunteers. Subsequent FDA-approved MDMA studies in humans have taken place in the United States in Detroit (Wayne State University), Chicago (University of Chicago), San Francisco (UCSF and California Pacific Medical Center), Baltimore (NIDA–NIH Intramural Program), and South Carolina. Studies have also been conducted in Switzerland (University Hospital of Psychiatry, Zürich), the Netherlands (Maastricht University), and Spain (Universitat Autònoma de Barcelona). "Molly", short for 'molecule', was recognized as a slang term for crystalline or powder MDMA in the 2000s. In 2010, the BBC reported that use of MDMA had decreased in the UK in previous years. This may be due to increased seizures during use and decreased production of the precursor chemicals used to manufacture MDMA. Unwitting substitution with other drugs, such as mephedrone and methamphetamine, as well as legal alternatives to MDMA, such as BZP, MDPV, and methylone, are also thought to have contributed to its decrease in popularity. In 2017 it was found that some pills being sold as MDMA contained pentylone, which can cause very unpleasant agitation and paranoia. According to David Nutt, when safrole was restricted by the United Nations in order to reduce the supply of MDMA, producers in China began using anethole instead, but this gives para-methoxyamphetamine (PMA, also known as "Dr Death"), which is much more toxic than MDMA and can cause overheating, muscle spasms, seizures, unconsciousness, and death. People wanting MDMA are sometimes sold PMA instead. Society and culture Legal status MDMA is legally controlled in most of the world under the UN Convention on Psychotropic Substances and other international agreements, although exceptions exist for research and limited medical use. In general, the unlicensed use, sale or manufacture of MDMA are all criminal offences. Australia In Australia, MDMA was declared an illegal substance in 1986 because of its harmful effects and potential for misuse. It is classed as a Schedule 9 Prohibited Substance in the country, meaning it is available for scientific research purposes only. Any other type of sale, use or manufacture is strictly prohibited by law. Permits for research uses on humans must be approved by a recognized ethics committee on human research. In Western Australia under the Misuse of Drugs Act 1981 4.0g of MDMA is the amount required determining a court of trial, 2.0g is considered a presumption with intent to sell or supply and 28.0g is considered trafficking under Australian law. United Kingdom In the United Kingdom, MDMA was made illegal in 1977 by a modification order to the existing Misuse of Drugs Act 1971. Although MDMA was not named explicitly in this legislation, the order extended the definition of Class A drugs to include various ring-substituted phenethylamines. The drug is therefore illegal to sell, buy, or possess without a licence in the UK. Penalties include a maximum of seven years and/or unlimited fine for possession; life and/or unlimited fine for production or trafficking. Some researchers such as David Nutt have criticized the current scheduling of MDMA, which he determines to be a relatively harmless drug. An editorial he wrote in the Journal of Psychopharmacology, where he compared the risk of harm for horse riding (1 adverse event in 350) to that of ecstasy (1 in 10,000) resulted in his dismissal as well as the resignation of his colleagues from the ACMD. United States In the United States, MDMA is currently placed in Schedule I of the Controlled Substances Act. In a 2011 federal court hearing, the American Civil Liberties Union successfully argued that the sentencing guideline for MDMA/ecstasy is based on outdated science, leading to excessive prison sentences. Other courts have upheld the sentencing guidelines. The United States District Court for the Eastern District of Tennessee explained its ruling by noting that "an individual federal district court judge simply cannot marshal resources akin to those available to the Commission for tackling the manifold issues involved with determining a proper drug equivalency." Netherlands In the Netherlands, the Expert Committee on the List (Expertcommissie Lijstensystematiek Opiumwet) issued a report in June 2011 which discussed the evidence for harm and the legal status of MDMA, arguing in favor of maintaining it on List I. Canada In Canada, MDMA is listed as a Schedule 1 as it is an analogue of amphetamine. The CDSA was updated as a result of the Safe Streets and Communities Act changing amphetamines from Schedule III to Schedule I in March 2012. Demographics In 2014, 3.5% of 18 to 25 year-olds had used MDMA in the United States. In the European Union as of 2018, 4.1% of adults (15–64 years old) have used MDMA at least once in their life, and 0.8% had used it in the last year. Among young adults, 1.8% had used MDMA in the last year. In Europe, an estimated 37% of regular club-goers aged 14 to 35 used MDMA in the past year according to the 2015 European Drug report. The highest one-year prevalence of MDMA use in Germany in 2012 was 1.7% among people aged 25 to 29 compared with a population average of 0.4%. Among adolescent users in the United States between 1999 and 2008, girls were more likely to use MDMA than boys. Economics Europe In 2008 the European Monitoring Centre for Drugs and Drug Addiction noted that although there were some reports of tablets being sold for as little as €1, most countries in Europe then reported typical retail prices in the range of €3 to €9 per tablet, typically containing 25–65 mg of MDMA. By 2014 the EMCDDA reported that the range was more usually between €5 and €10 per tablet, typically containing 57–102 mg of MDMA, although MDMA in powder form was becoming more common. North America The United Nations Office on Drugs and Crime stated in its 2014 World Drug Report that US ecstasy retail prices range from US$1 to $70 per pill, or from $15,000 to $32,000 per kilogram. A new research area named Drug Intelligence aims to automatically monitor distribution networks based on image processing and machine learning techniques, in which an Ecstasy pill picture is analyzed to detect correlations among different production batches. These novel techniques allow police scientists to facilitate the monitoring of illicit distribution networks. , most of the MDMA in the United States is produced in British Columbia, Canada and imported by Canada-based Asian transnational criminal organizations. The market for MDMA in the United States is relatively small compared to methamphetamine, cocaine, and heroin. In the United States, about 0.9 million people used ecstasy in 2010. Australia MDMA is particularly expensive in Australia, costing A$15–A$30 per tablet. In terms of purity data for Australian MDMA, the average is around 34%, ranging from less than 1% to about 85%. The majority of tablets contain 70–85 mg of MDMA. Most MDMA enters Australia from the Netherlands, the UK, Asia, and the US. Corporate logos on pills A number of ecstasy manufacturers brand their pills with a logo, often being the logo of an unrelated corporation. Some pills depict logos of products or media popular with children, such as Shaun the Sheep. Research In 2017, doctors in the UK began the first clinical study of MDMA in alcohol use disorder. The potential for MDMA to be used as a rapid-acting antidepressant has been studied in clinical trials, but as of 2017 the evidence on efficacy and safety were insufficient to reach a conclusion. A 2014 review of the safety and efficacy of MDMA as a treatment for various disorders, particularly PTSD, indicated that MDMA has therapeutic efficacy in some patients; however, it emphasized that issues regarding the controlability of MDMA-induced experiences and neurochemical recovery must be addressed. The author noted that oxytocin and -cycloserine are potentially safer co-drugs in PTSD treatment, albeit with limited evidence of efficacy. This review and a second corroborating review by a different author both concluded that, because of MDMA's demonstrated potential to cause lasting harm in humans (e.g., serotonergic neurotoxicity and persistent memory impairment), "considerably more research must be performed" on its efficacy in PTSD treatment to determine if the potential treatment benefits outweigh its potential to harm to a patient. MDMA in combination with psychotherapy has been studied as a treatment for post-traumatic stress disorder, and four clinical trials provide moderate evidence in support of this treatment. However, it is important to note that the lack of appropriate blinding of participants likely leads to overestimation of treatments effects due to high levels of response expectancy. In addition, there are no trials comparing MDMA-assisted psychotherapy for PTSD with existent evidence-based psychological treatments for PTSD, which seems to attain similar or better treatment effects compared with that achieved by MDMA-assisted psychotherapy. Notes References External links 5-HT1A agonists 5-HT2A agonists 5-HT2B agonists 5-HT2C agonists Substituted amphetamines Benzodioxoles Entactogens and empathogens Entheogens Euphoriants German inventions Methamphetamines Serotonin-norepinephrine-dopamine releasing agents Serotonin receptor agonists Stimulants TAAR1 agonists VMAT inhibitors Articles containing video clips Wikipedia medicine articles ready to translate
10085
https://en.wikipedia.org/wiki/Edward%20Elgar
Edward Elgar
Sir Edward William Elgar, 1st Baronet, (; 2 June 1857 – 23 February 1934) was an English composer, many of whose works have entered the British and international classical concert repertoire. Among his best-known compositions are orchestral works including the Enigma Variations, the Pomp and Circumstance Marches, concertos for violin and cello, and two symphonies. He also composed choral works, including The Dream of Gerontius, chamber music and songs. He was appointed Master of the King's Musick in 1924. Although Elgar is often regarded as a typically English composer, most of his musical influences were not from England but from continental Europe. He felt himself to be an outsider, not only musically, but socially. In musical circles dominated by academics, he was a self-taught composer; in Protestant Britain, his Roman Catholicism was regarded with suspicion in some quarters; and in the class-conscious society of Victorian and Edwardian Britain, he was acutely sensitive about his humble origins even after he achieved recognition. He nevertheless married the daughter of a senior British Army officer. She inspired him both musically and socially, but he struggled to achieve success until his forties, when after a series of moderately successful works his Enigma Variations (1899) became immediately popular in Britain and overseas. He followed the Variations with a choral work, The Dream of Gerontius (1900), based on a Roman Catholic text that caused some disquiet in the Anglican establishment in Britain, but it became, and has remained, a core repertory work in Britain and elsewhere. His later full-length religious choral works were well received but have not entered the regular repertory. In his fifties, Elgar composed a symphony and a violin concerto that were immensely successful. His second symphony and his cello concerto did not gain immediate public popularity and took many years to achieve a regular place in the concert repertory of British orchestras. Elgar's music came, in his later years, to be seen as appealing chiefly to British audiences. His stock remained low for a generation after his death. It began to revive significantly in the 1960s, helped by new recordings of his works. Some of his works have, in recent years, been taken up again internationally, but the music continues to be played more in Britain than elsewhere. Elgar has been described as the first composer to take the gramophone seriously. Between 1914 and 1925, he conducted a series of acoustic recordings of his works. The introduction of the moving-coil microphone in 1923 made far more accurate sound reproduction possible, and Elgar made new recordings of most of his major orchestral works and excerpts from The Dream of Gerontius. Biography Early years Edward Elgar was born in the small village of Lower Broadheath, outside Worcester, England on 2 June 1857. His father, William Henry Elgar (1821–1906), was raised in Dover and had been apprenticed to a London music publisher. In 1841 William moved to Worcester, where he worked as a piano tuner and set up a shop selling sheet music and musical instruments. In 1848 he married Ann Greening (1822–1902), daughter of a farm worker. Edward was the fourth of their seven children. Ann Elgar had converted to Roman Catholicism shortly before Edward's birth, and he was baptised and brought up as a Roman Catholic, to the disapproval of his father. William Elgar was a violinist of professional standard and held the post of organist of St George's Roman Catholic Church, Worcester, from 1846 to 1885. At his instigation, masses by Cherubini and Hummel were first heard at the Three Choirs Festival by the orchestra in which he played the violin. All the Elgar children received a musical upbringing. By the age of eight, Elgar was taking piano and violin lessons, and his father, who tuned the pianos at many grand houses in Worcestershire, would sometimes take him along, giving him the chance to display his skill to important local figures. Elgar's mother was interested in the arts and encouraged his musical development. He inherited from her a discerning taste for literature and a passionate love of the countryside. His friend and biographer W. H. "Billy" Reed wrote that Elgar's early surroundings had an influence that "permeated all his work and gave to his whole life that subtle but none the less true and sturdy English quality". He began composing at an early age; for a play written and acted by the Elgar children when he was about ten, he wrote music that forty years later he rearranged with only minor changes and orchestrated as the suites titled The Wand of Youth. Until he was fifteen, Elgar received a general education at Littleton (now Lyttleton) House school, near Worcester. His only formal musical training beyond piano and violin lessons from local teachers consisted of more advanced violin studies with Adolf Pollitzer, during brief visits to London in 1877–78. Elgar said, "my first music was learnt in the Cathedral ... from books borrowed from the music library, when I was eight, nine or ten." He worked through manuals of instruction on organ playing and read every book he could find on the theory of music. He later said that he had been most helped by Hubert Parry's articles in the Grove Dictionary of Music and Musicians. Elgar began to learn German, in the hope of going to the Leipzig Conservatory for further musical studies, but his father could not afford to send him. Years later, a profile in The Musical Times considered that his failure to get to Leipzig was fortunate for Elgar's musical development: "Thus the budding composer escaped the dogmatism of the schools." However, it was a disappointment to Elgar that on leaving school in 1872 he went not to Leipzig but to the office of a local solicitor as a clerk. He did not find an office career congenial, and for fulfilment he turned not only to music but to literature, becoming a voracious reader. Around this time, he made his first public appearances as a violinist and organist. After a few months, Elgar left the solicitor to embark on a musical career, giving piano and violin lessons and working occasionally in his father's shop. He was an active member of the Worcester Glee club, along with his father, and he accompanied singers, played the violin, composed and arranged works, and conducted for the first time. Pollitzer believed that, as a violinist, Elgar had the potential to be one of the leading soloists in the country, but Elgar himself, having heard leading virtuosi at London concerts, felt his own violin playing lacked a full enough tone, and he abandoned his ambitions to be a soloist. At twenty-two he took up the post of conductor of the attendants' band at the Worcester and County Lunatic Asylum in Powick, from Worcester. The band consisted of: piccolo, flute, clarinet, two cornets, euphonium, three or four first and a similar number of second violins, occasional viola, cello, double bass and piano. Elgar coached the players and wrote and arranged their music, including quadrilles and polkas, for the unusual combination of instruments. The Musical Times wrote, "This practical experience proved to be of the greatest value to the young musician. ... He acquired a practical knowledge of the capabilities of these different instruments. ... He thereby got to know intimately the tone colour, the ins and outs of these and many other instruments." He held the post for five years, from 1879, travelling to Powick once a week. Another post he held in his early days was professor of the violin at the Worcester College for the Blind Sons of Gentlemen. Although rather solitary and introspective by nature, Elgar thrived in Worcester's musical circles. He played in the violins at the Worcester and Birmingham Festivals, and one great experience was to play Dvořák's Symphony No. 6 and Stabat Mater under the composer's baton. Elgar regularly played the bassoon in a wind quintet, alongside his brother Frank, an oboist (and conductor who ran his own wind band). Elgar arranged numerous pieces by Mozart, Beethoven, Haydn, and others for the quintet, honing his arranging and compositional skills. In his first trips abroad, Elgar visited Paris in 1880 and Leipzig in 1882. He heard Saint-Saëns play the organ at the Madeleine and attended concerts by first-rate orchestras. In 1882 he wrote, "I got pretty well dosed with Schumann (my ideal!), Brahms, Rubinstein & Wagner, so had no cause to complain." In Leipzig he visited a friend, Helen Weaver, who was a student at the Conservatoire. They became engaged in the summer of 1883, but for unknown reasons the engagement was broken off the next year. Elgar was greatly distressed, and some of his later cryptic dedications of romantic music may have alluded to Helen and his feelings for her. Throughout his life, Elgar was often inspired by close women friends; Helen Weaver was succeeded by Mary Lygon, Dora Penny, Julia Worthington, Alice Stuart Wortley and finally Vera Hockman, who enlivened his old age. In 1882, seeking more professional orchestral experience, Elgar was employed as a violinist in Birmingham in William Stockley's Orchestra, for whom he played every concert for the next seven years and where he later said he "learned all the music I know". On 13 December 1883 he took part with Stockley in a performance at Birmingham Town Hall of one of his first works for full orchestra, the Sérénade mauresque – the first time one of his compositions had been performed by a professional orchestra. Stockley had invited him to conduct the piece but later recalled "he declined, and, further, insisted upon playing in his place in the orchestra. The consequence was that he had to appear, fiddle in hand, to acknowledge the genuine and hearty applause of the audience." Elgar often went to London in an attempt to get his works published, but this period in his life found him frequently despondent and low on money. He wrote to a friend in April 1884, "My prospects are about as hopeless as ever ... I am not wanting in energy I think, so sometimes I conclude that 'tis want of ability. ... I have no money – not a cent." Marriage When Elgar was 29, he took on a new pupil, Caroline Alice Roberts, known as Alice, daughter of the late Major-General Sir Henry Roberts, and published author of verse and prose fiction. Eight years older than Elgar, Alice became his wife three years later. Elgar's biographer Michael Kennedy writes, "Alice's family was horrified by her intention to marry an unknown musician who worked in a shop and was a Roman Catholic. She was disinherited." They were married on 8 May 1889, at Brompton Oratory. From then until her death, she acted as his business manager and social secretary, dealt with his mood swings, and was a perceptive musical critic. She did her best to gain him the attention of influential society, though with limited success. In time, he would learn to accept the honours given him, realising that they mattered more to her and her social class and recognising what she had given up to further his career. In her diary, she wrote, "The care of a genius is enough of a life work for any woman." As an engagement present, Elgar dedicated his short violin-and-piano piece Salut d'Amour to her. With Alice's encouragement, the Elgars moved to London to be closer to the centre of British musical life, and Elgar started devoting his time to composition. Their only child, Carice Irene, was born at their home in West Kensington on 14 August 1890. Her name, revealed in Elgar's dedication of Salut d'Amour, was a contraction of her mother's names Caroline and Alice. Elgar took full advantage of the opportunity to hear unfamiliar music. In the days before miniature scores and recordings were available, it was not easy for young composers to get to know new music. Elgar took every chance to do so at the Crystal Palace concerts. He and Alice attended day after day, hearing music by a wide range of composers. Among these were masters of orchestration from whom he learned much, such as Berlioz and Richard Wagner. His own compositions made little impact on London's musical scene. August Manns conducted Elgar's orchestral version of Salut d'amour and the Suite in D at the Crystal Palace, and two publishers accepted some of Elgar's violin pieces, organ voluntaries, and part songs. Some tantalising opportunities seemed to be within reach but vanished unexpectedly. For example, an offer from the Royal Opera House, Covent Garden, to run through some of his works was withdrawn at the last second when Sir Arthur Sullivan arrived unannounced to rehearse some of his own music. Sullivan was horrified when Elgar later told him what had happened. Elgar's only important commission while in London came from his home city: the Worcester Festival Committee invited him to compose a short orchestral work for the 1890 Three Choirs Festival. The result is described by Diana McVeagh in the Grove Dictionary of Music and Musicians, as "his first major work, the assured and uninhibited Froissart." Elgar conducted the first performance in Worcester in September 1890. For lack of other work, he was obliged to leave London in 1891 and return with his wife and child to Worcestershire, where he could earn a living conducting local musical ensembles and teaching. They settled in Alice's former home town, Great Malvern. Growing reputation During the 1890s, Elgar gradually built up a reputation as a composer, chiefly of works for the great choral festivals of the English Midlands. The Black Knight (1892) and King Olaf (1896), both inspired by Longfellow, The Light of Life (1896) and Caractacus (1898) were all modestly successful, and he obtained a long-standing publisher in Novello and Co. Other works of this decade included the Serenade for Strings (1892) and Three Bavarian Dances (1897). Elgar was of enough consequence locally to recommend the young composer Samuel Coleridge-Taylor to the Three Choirs Festival for a concert piece, which helped establish the younger man's career. Elgar was catching the attention of prominent critics, but their reviews were polite rather than enthusiastic. Although he was in demand as a festival composer, he was only just getting by financially and felt unappreciated. In 1898, he said he was "very sick at heart over music" and hoped to find a way to succeed with a larger work. His friend August Jaeger tried to lift his spirits: "A day's attack of the blues ... will not drive away your desire, your necessity, which is to exercise those creative faculties which a kind providence has given you. Your time of universal recognition will come." In 1899, that prediction suddenly came true. At the age of forty-two, Elgar produced the Enigma Variations, which were premiered in London under the baton of the eminent German conductor Hans Richter. In Elgar's own words, "I have sketched a set of Variations on an original theme. The Variations have amused me because I've labelled them with the nicknames of my particular friends ... that is to say I've written the variations each one to represent the mood of the 'party' (the person) ... and have written what I think they would have written – if they were asses enough to compose". He dedicated the work "To my friends pictured within". Probably the best known variation is "Nimrod", depicting Jaeger. Purely musical considerations led Elgar to omit variations depicting Arthur Sullivan and Hubert Parry, whose styles he tried but failed to incorporate in the variations. The large-scale work was received with general acclaim for its originality, charm and craftsmanship, and it established Elgar as the pre-eminent British composer of his generation. The work is formally titled Variations on an Original Theme; the word "Enigma" appears over the first six bars of music, which led to the familiar version of the title. The enigma is that, although there are fourteen variations on the "original theme", there is another overarching theme, never identified by Elgar, which he said "runs through and over the whole set" but is never heard. Later commentators have observed that although Elgar is today regarded as a characteristically English composer, his orchestral music and this work in particular share much with the Central European tradition typified at the time by the work of Richard Strauss. The Enigma Variations were well received in Germany and Italy, and remain to the present day a worldwide concert staple. National and international fame Elgar's biographer Basil Maine commented, "When Sir Arthur Sullivan died in 1900 it became apparent to many that Elgar, although a composer of another build, was his true successor as first musician of the land." Elgar's next major work was eagerly awaited. For the Birmingham Triennial Music Festival of 1900, he set Cardinal John Henry Newman's poem The Dream of Gerontius for soloists, chorus and orchestra. Richter conducted the premiere, which was marred by a poorly prepared chorus, which sang badly. Critics recognised the mastery of the piece despite the defects in performance. It was performed in Düsseldorf, Germany, in 1901 and again in 1902, conducted by Julius Buths, who also conducted the European premiere of the Enigma Variations in 1901. The German press was enthusiastic. The Cologne Gazette said, "In both parts we meet with beauties of imperishable value. ... Elgar stands on the shoulders of Berlioz, Wagner, and Liszt, from whose influences he has freed himself until he has become an important individuality. He is one of the leaders of musical art of modern times." The Düsseldorfer Volksblatt wrote, "A memorable and epoch-making first performance! Since the days of Liszt nothing has been produced in the way of oratorio ... which reaches the greatness and importance of this sacred cantata." Richard Strauss, then widely viewed as the leading composer of his day, was so impressed that in Elgar's presence he proposed a toast to the success of "the first English progressive musician, Meister Elgar." Performances in Vienna, Paris and New York followed, and The Dream of Gerontius soon became equally admired in Britain. According to Kennedy, "It is unquestionably the greatest British work in the oratorio form ... [it] opened a new chapter in the English choral tradition and liberated it from its Handelian preoccupation." Elgar, as a Roman Catholic, was much moved by Newman's poem about the death and redemption of a sinner, but some influential members of the Anglican establishment disagreed. His colleague, Charles Villiers Stanford complained that the work "stinks of incense". The Dean of Gloucester banned Gerontius from his cathedral in 1901, and at Worcester the following year, the Dean insisted on expurgations before allowing a performance. Elgar is probably best known for the first of the five Pomp and Circumstance Marches, which were composed between 1901 and 1930. It is familiar to millions of television viewers all over the world every year who watch the Last Night of the Proms, where it is traditionally performed. When the theme of the slower middle section (technically called the "trio") of the first march came into his head, he told his friend Dora Penny, "I've got a tune that will knock 'em – will knock 'em flat". When the first march was played in 1901 at a London Promenade Concert, it was conducted by Henry Wood, who later wrote that the audience "rose and yelled ... the one and only time in the history of the Promenade concerts that an orchestral item was accorded a double encore." To mark the coronation of Edward VII, Elgar was commissioned to set A. C. Benson's Coronation Ode for a gala concert at the Royal Opera House on 30 June 1902. The approval of the king was confirmed, and Elgar began work. The contralto Clara Butt had persuaded him that the trio of the first Pomp and Circumstance march could have words fitted to it, and Elgar invited Benson to do so. Elgar incorporated the new vocal version into the Ode. The publishers of the score recognised the potential of the vocal piece, "Land of Hope and Glory", and asked Benson and Elgar to make a further revision for publication as a separate song. It was immensely popular and is now considered an unofficial British national anthem. In the United States, the trio, known simply as "Pomp and Circumstance" or "The Graduation March", has been adopted since 1905 for virtually all high school and university graduations. In March 1904 a three-day festival of Elgar's works was presented at Covent Garden, an honour never before given to any English composer. The Times commented, "Four or five years ago if any one had predicted that the Opera-house would be full from floor to ceiling for the performance of an oratorio by an English composer he would probably have been supposed to be out of his mind." The king and queen attended the first concert, at which Richter conducted The Dream of Gerontius, and returned the next evening for the second, the London premiere of The Apostles (first heard the previous year at the Birmingham Festival). The final concert of the festival, conducted by Elgar, was primarily orchestral, apart for an excerpt from Caractacus and the complete Sea Pictures (sung by Clara Butt). The orchestral items were Froissart, the Enigma Variations, Cockaigne, the first two (at that time the only two) Pomp and Circumstance marches, and the premiere of a new orchestral work, In the South, inspired by a holiday in Italy. Elgar was knighted at Buckingham Palace on 5 July 1904. The following month, he and his family moved to Plâs Gwyn, a large house on the outskirts of Hereford, overlooking the River Wye, where they lived until 1911. Between 1902 and 1914, Elgar was, in Kennedy's words, at the zenith of popularity. He made four visits to the US, including one conducting tour, and earned considerable fees from the performance of his music. Between 1905 and 1908, he held the post of Peyton Professor of Music at the University of Birmingham. He had accepted the post reluctantly, feeling that a composer should not head a school of music. He was not at ease in the role, and his lectures caused controversy, with his attacks on the critics and on English music in general: "Vulgarity in the course of time may be refined. Vulgarity often goes with inventiveness ... but the commonplace mind can never be anything but commonplace. An Englishman will take you into a large room, beautifully proportioned, and will point out to you that it is white – all over white – and somebody will say, 'What exquisite taste'. You know in your own mind, in your own soul, that it is not taste at all, that it is the want of taste, that is mere evasion. English music is white, and evades everything." He regretted the controversy and was glad to hand on the post to his friend Granville Bantock in 1908. His new life as a celebrity was a mixed blessing to the highly strung Elgar, as it interrupted his privacy, and he often was in ill-health. He complained to Jaeger in 1903, "My life is one continual giving up of little things which I love." Both W. S. Gilbert and Thomas Hardy sought to collaborate with Elgar in this decade. Elgar refused, but would have collaborated with Bernard Shaw had Shaw been willing. Elgar paid three visits to the USA between 1905 and 1911. His first was to conduct his music and to accept a doctorate from Yale University. His principal composition in 1905 was the Introduction and Allegro for Strings, dedicated to Samuel Sanford. It was well received but did not catch the public imagination as The Dream of Gerontius had done and continued to do. Among keen Elgarians, however, The Kingdom was sometimes preferred to the earlier work: Elgar's friend Frank Schuster told the young Adrian Boult: "compared with The Kingdom, Gerontius is the work of a raw amateur." As Elgar approached his fiftieth birthday, he began work on his first symphony, a project that had been in his mind in various forms for nearly ten years. His First Symphony (1908) was a national and international triumph. Within weeks of the premiere it was performed in New York under Walter Damrosch, Vienna under Ferdinand Löwe, St Petersburg under Alexander Siloti, and Leipzig under Arthur Nikisch. There were performances in Rome, Chicago, Boston, Toronto and fifteen British towns and cities. In just over a year, it received a hundred performances in Britain, America and continental Europe. The Violin Concerto (1910) was commissioned by Fritz Kreisler, one of the leading international violinists of the time. Elgar wrote it during the summer of 1910, with occasional help from W. H. Reed, the leader of the London Symphony Orchestra, who helped the composer with advice on technical points. Elgar and Reed formed a firm friendship, which lasted for the rest of Elgar's life. Reed's biography, Elgar As I Knew Him (1936), records many details of Elgar's methods of composition. The work was presented by the Royal Philharmonic Society, with Kreisler and the London Symphony Orchestra, conducted by the composer. Reed recalled, "the Concerto proved to be a complete triumph, the concert a brilliant and unforgettable occasion." So great was the impact of the concerto that Kreisler's rival Eugène Ysaÿe spent much time with Elgar going through the work. There was great disappointment when contractual difficulties prevented Ysaÿe from playing it in London. The Violin Concerto was Elgar's last popular triumph. The following year he presented his Second Symphony in London, but was disappointed at its reception. Unlike the First Symphony, it ends not in a blaze of orchestral splendour but quietly and contemplatively. Reed, who played at the premiere, later wrote that Elgar was recalled to the platform several times to acknowledge the applause, "but missed that unmistakable note perceived when an audience, even an English audience, is thoroughly roused or worked up, as it was after the Violin Concerto or the First Symphony." Elgar asked Reed, "What is the matter with them, Billy? They sit there like a lot of stuffed pigs." The work was, by normal standards, a success, with twenty-seven performances within three years of its premiere, but it did not achieve the international furore of the First Symphony. Last major works In June 1911, as part of the celebrations surrounding the coronation of King George V, Elgar was appointed to the Order of Merit, an honour limited to twenty-four holders at any time. The following year, the Elgars moved back to London, to a large house in Netherhall Gardens, Hampstead, designed by Norman Shaw. There Elgar composed his last two large-scale works of the pre-war era, the choral ode, The Music Makers (for the Birmingham Festival, 1912) and the symphonic study Falstaff (for the Leeds Festival, 1913). Both were received politely but without enthusiasm. Even the dedicatee of Falstaff, the conductor Landon Ronald, confessed privately that he could not "make head or tail of the piece," while the musical scholar Percy Scholes wrote of Falstaff that it was a "great work" but, "so far as public appreciation goes, a comparative failure." When World War I broke out, Elgar was horrified at the prospect of the carnage, but his patriotic feelings were nonetheless aroused. He composed "A Song for Soldiers", which he later withdrew. He signed up as a special constable in the local police and later joined the Hampstead Volunteer Reserve of the army. He composed patriotic works, Carillon, a recitation for speaker and orchestra in honour of Belgium, and Polonia, an orchestral piece in honour of Poland. Land of Hope and Glory, already popular, became still more so, and Elgar wished in vain to have new, less nationalistic, words sung to the tune. Elgar's other compositions during the war included incidental music for a children's play, The Starlight Express (1915); a ballet, The Sanguine Fan (1917); and The Spirit of England (1915–17, to poems by Laurence Binyon), three choral settings very different in character from the romantic patriotism of his earlier years. His last large-scale composition of the war years was The Fringes of the Fleet, settings of verses by Rudyard Kipling, performed with great popular success around the country, until Kipling for unexplained reasons objected to their performance in theatres. Elgar conducted a recording of the work for the Gramophone Company. Towards the end of the war, Elgar was in poor health. His wife thought it best for him to move to the countryside, and she rented "Brinkwells", a house near Fittleworth in Sussex, from the painter Rex Vicat Cole. There Elgar recovered his strength and, in 1918 and 1919, he produced four large-scale works. The first three of these were chamber pieces: the Violin Sonata in E minor, the Piano Quintet in A minor, and the String Quartet in E minor. On hearing the work in progress, Alice Elgar wrote in her diary, "E. writing wonderful new music". All three works were well received. The Times wrote, "Elgar's sonata contains much that we have heard before in other forms, but as we do not at all want him to change and be somebody else, that is as it should be." The quartet and quintet were premiered at the Wigmore Hall on 21 May 1919. The Manchester Guardian wrote, "This quartet, with its tremendous climaxes, curious refinements of dance-rhythms, and its perfect symmetry, and the quintet, more lyrical and passionate, are as perfect examples of chamber music as the great oratorios were of their type." By contrast, the remaining work, the Cello Concerto in E minor, had a disastrous premiere, at the opening concert of the London Symphony Orchestra's 1919–20 season in October 1919. Apart from the Elgar work, which the composer conducted, the rest of the programme was conducted by Albert Coates, who overran his rehearsal time at the expense of Elgar's. Lady Elgar wrote, "that brutal selfish ill-mannered bounder ... that brute Coates went on rehearsing." The critic of The Observer, Ernest Newman, wrote, "There have been rumours about during the week of inadequate rehearsal. Whatever the explanation, the sad fact remains that never, in all probability, has so great an orchestra made so lamentable an exhibition of itself. ... The work itself is lovely stuff, very simple – that pregnant simplicity that has come upon Elgar's music in the last couple of years – but with a profound wisdom and beauty underlying its simplicity." Elgar attached no blame to his soloist, Felix Salmond, who played the work for him again later. In contrast with the First Symphony and its hundred performances in just over a year, the Cello Concerto did not have a second performance in London for more than a year. Last years Although in the 1920s Elgar's music was no longer in fashion, his admirers continued to present his works when possible. Reed singles out a performance of the Second Symphony in March 1920 conducted by "a young man almost unknown to the public", Adrian Boult, for bringing "the grandeur and nobility of the work" to a wider public. Also in 1920, Landon Ronald presented an all-Elgar concert at the Queen's Hall. Alice Elgar wrote with enthusiasm about the reception of the symphony, but this was one of the last times she heard Elgar's music played in public. After a short illness, she died of lung cancer on 7 April 1920, at the age of seventy-two. Elgar was devastated by the loss of his wife. With no public demand for new works, and deprived of Alice's constant support and inspiration, he allowed himself to be deflected from composition. His daughter later wrote that Elgar inherited from his father a reluctance to "settle down to work on hand but could cheerfully spend hours over some perfectly unnecessary and entirely unremunerative undertaking", a trait that became stronger after Alice's death. For much of the rest of his life, Elgar indulged himself in his several hobbies. Throughout his life he was a keen amateur chemist, sometimes using a laboratory in his back garden. He even patented the "Elgar Sulphuretted Hydrogen Apparatus" in 1908. He enjoyed football, supporting Wolverhampton Wanderers F.C., for whom he composed an anthem, "He Banged the Leather for Goal", and in his later years he frequently attended horseraces. His protégés, the conductor Malcolm Sargent and violinist Yehudi Menuhin, both recalled rehearsals with Elgar at which he swiftly satisfied himself that all was well and then went off to the races. In his younger days, Elgar had been an enthusiastic cyclist, buying Royal Sunbeam bicycles for himself and his wife in 1903 (he named his "Mr. Phoebus"). As an elderly widower, he enjoyed being driven about the countryside by his chauffeur. In November and December 1923, he took a voyage to Brazil, journeying up the Amazon to Manaus, where he was impressed by its opera house, the Teatro Amazonas. Almost nothing is recorded about Elgar's activities or the events that he encountered during the trip, which gave the novelist James Hamilton-Paterson considerable latitude when writing Gerontius, a fictional account of the journey. After Alice's death, Elgar sold the Hampstead house, and after living for a short time in a flat in St James's in the heart of London, he moved back to Worcestershire, to the village of Kempsey, where he lived from 1923 to 1927. He did not wholly abandon composition in these years. He made large-scale symphonic arrangements of works by Bach and Handel and wrote his Empire March and eight songs Pageant of Empire for the 1924 British Empire Exhibition. Shortly after these were published, he was appointed Master of the King's Musick on 13 May 1924, following the death of Sir Walter Parratt. From 1926 onwards, Elgar made a series of recordings of his own works. Described by the music writer Robert Philip as "the first composer to take the gramophone seriously", he had already recorded much of his music by the early acoustic-recording process for His Master's Voice (HMV) from 1914 onwards, but the introduction of electrical microphones in 1925 transformed the gramophone from a novelty into a realistic medium for reproducing orchestral and choral music. Elgar was the first composer to take full advantage of this technological advance. Fred Gaisberg of HMV, who produced Elgar's recordings, set up a series of sessions to capture on disc the composer's interpretations of his major orchestral works, including the Enigma Variations, Falstaff, the first and second symphonies, and the cello and violin concertos. For most of these, the orchestra was the LSO, but the Variations were played by the Royal Albert Hall Orchestra. Later in the series of recordings, Elgar also conducted two newly founded orchestras, Boult's BBC Symphony Orchestra and Sir Thomas Beecham's London Philharmonic Orchestra. Elgar's recordings were released on 78-rpm discs by both HMV and RCA Victor. After World War II, the 1932 recording of the Violin Concerto with the teenage Menuhin as soloist remained available on 78 and later on LP, but the other recordings were out of the catalogues for some years. When they were reissued by EMI on LP in the 1970s, they caused surprise to many by their fast tempi, in contrast to the slower speeds adopted by many conductors in the years since Elgar's death. The recordings were reissued on CD in the 1990s. In November 1931, Elgar was filmed by Pathé for a newsreel depicting a recording session of Pomp and Circumstance March No. 1 at the opening of EMI's Abbey Road Studios in London. It is believed to be the only surviving sound film of Elgar, who makes a brief remark before conducting the London Symphony Orchestra, asking the musicians to "play this tune as though you've never heard it before." A memorial plaque to Elgar at Abbey Road was unveiled on 24 June 1993. A late piece of Elgar's, the Nursery Suite, was an early example of a studio premiere: its first performance was in the Abbey Road studios. For this work, dedicated to the wife and daughters of the Duke of York, Elgar once again drew on his youthful sketch-books. In his final years, Elgar experienced a musical revival. The BBC organised a festival of his works to celebrate his seventy-fifth birthday, in 1932. He flew to Paris in 1933 to conduct the Violin Concerto for Menuhin. While in France, he visited his fellow composer Frederick Delius at his house at Grez-sur-Loing. He was sought out by younger musicians such as Adrian Boult, Malcolm Sargent and John Barbirolli, who championed his music when it was out of fashion. He began work on an opera, The Spanish Lady, and accepted a commission from the BBC to compose a Third Symphony. His final illness prevented their completion. He fretted about the unfinished works. He asked Reed to ensure that nobody would "tinker" with the sketches and attempt a completion of the symphony, but at other times he said, "If I can't complete the Third Symphony, somebody will complete it – or write a better one." After Elgar's death, Percy M. Young, in co-operation with the BBC and Elgar's daughter Carice, produced a version of The Spanish Lady, which was issued on CD. The Third Symphony sketches were elaborated by the composer Anthony Payne into a complete score in 1997. Inoperable colorectal cancer was discovered during an operation on 8 October 1933. He told his consulting doctor, Arthur Thomson, that he had no faith in an afterlife: "I believe there is nothing but complete oblivion." Elgar died on 23 February 1934 at the age of seventy-six and was buried next to his wife at St Wulstan's Roman Catholic Church in Little Malvern. Music Influences, antecedents and early works Elgar was contemptuous of folk music and had little interest in or respect for the early English composers, calling William Byrd and his contemporaries "museum pieces". Of later English composers, he regarded Purcell as the greatest, and he said that he had learned much of his own technique from studying Hubert Parry's writings. The continental composers who most influenced Elgar were Handel, Dvořák and, to some degree, Brahms. In Elgar's chromaticism, the influence of Wagner is apparent, but Elgar's individual style of orchestration owes much to the clarity of nineteenth-century French composers, Berlioz, Massenet, Saint-Saëns and, particularly, Delibes, whose music Elgar played and conducted at Worcester and greatly admired. Elgar began composing when still a child, and all his life he drew on his early sketchbooks for themes and inspiration. The habit of assembling his compositions, even large-scale ones, from scraps of themes jotted down randomly remained throughout his life. His early adult works included violin and piano pieces, music for the wind quintet in which he and his brother played between 1878 and 1881, and music of many types for the Powick Asylum band. Diana McVeagh in Grove's Dictionary finds many embryonic Elgarian touches in these pieces, but few of them are regularly played, except Salut d'Amour and (as arranged decades later into The Wand of Youth Suites) some of the childhood sketches. Elgar's sole work of note during his first spell in London in 1889–91, the overture Froissart, was a romantic-bravura piece, influenced by Mendelssohn and Wagner, but also showing further Elgarian characteristics. Orchestral works composed during the subsequent years in Worcestershire include the Serenade for Strings and Three Bavarian Dances. In this period and later, Elgar wrote songs and part songs. W. H. Reed expressed reservations about these pieces, but praised the part song The Snow, for female voices, and Sea Pictures, a cycle of five songs for contralto and orchestra which remains in the repertory. Elgar's principal large-scale early works were for chorus and orchestra for the Three Choirs and other festivals. These were The Black Knight, King Olaf, The Light of Life, The Banner of St George and Caractacus. He also wrote a Te Deum and Benedictus for the Hereford Festival. Of these, McVeagh comments favourably on his lavish orchestration and innovative use of leitmotifs, but less favourably on the qualities of his chosen texts and the patchiness of his inspiration. McVeagh makes the point that, because these works of the 1890s were for many years little known (and performances remain rare), the mastery of his first great success, the Enigma Variations, appeared to be a sudden transformation from mediocrity to genius, but in fact his orchestral skills had been building up throughout the decade. Peak creative years Elgar's best-known works were composed within the twenty-one years between 1899 and 1920. Most of them are orchestral. Reed wrote, "Elgar's genius rose to its greatest height in his orchestral works" and quoted the composer as saying that, even in his oratorios, the orchestral part is the most important. The Enigma Variations made Elgar's name nationally. The variation form was ideal for him at this stage of his career, when his comprehensive mastery of orchestration was still in contrast to his tendency to write his melodies in short, sometimes rigid, phrases. His next orchestral works, Cockaigne, a concert-overture (1900–1901), the first two Pomp and Circumstance marches (1901), and the gentle Dream Children (1902), are all short: the longest of them, Cockaigne, lasting less than fifteen minutes. In the South (1903–1904), although designated by Elgar as a concert-overture, is, according to Kennedy, really a tone poem and the longest continuous piece of purely orchestral writing Elgar had essayed. He wrote it after setting aside an early attempt to compose a symphony. The work reveals his continuing progress in writing sustained themes and orchestral lines, although some critics, including Kennedy, find that in the middle part "Elgar's inspiration burns at less than its brightest." In 1905 Elgar completed the Introduction and Allegro for Strings. This work is based, unlike much of Elgar's earlier writing, not on a profusion of themes but on only three. Kennedy called it a "masterly composition, equalled among English works for strings only by Vaughan Williams's Tallis Fantasia." During the next four years Elgar composed three major concert pieces, which, though shorter than comparable works by some of his European contemporaries, are among the most substantial such works by an English composer. These were his First Symphony, Violin Concerto, and Second Symphony, which all play for between forty-five minutes and an hour. McVeagh says of the symphonies that they "rank high not only in Elgar's output but in English musical history. Both are long and powerful, without published programmes, only hints and quotations to indicate some inward drama from which they derive their vitality and eloquence. Both are based on classical form but differ from it to the extent that ... they were considered prolix and slackly constructed by some critics. Certainly the invention in them is copious; each symphony would need several dozen music examples to chart its progress." Elgar's Violin Concerto and Cello Concerto, in the view of Kennedy, "rank not only among his finest works, but among the greatest of their kind". They are, however, very different from each other. The Violin Concerto, composed in 1909 as Elgar reached the height of his popularity, and written for the instrument dearest to his heart, is lyrical throughout and rhapsodical and brilliant by turns. The Cello Concerto, composed a decade later, immediately after World War I, seems, in Kennedy's words, "to belong to another age, another world ... the simplest of all Elgar's major works ... also the least grandiloquent." Between the two concertos came Elgar's symphonic study Falstaff, which has divided opinion even among Elgar's strongest admirers. Donald Tovey viewed it as "one of the immeasurably great things in music", with power "identical with Shakespeare's", while Kennedy criticises the work for "too frequent reliance on sequences" and an over-idealised depiction of the female characters. Reed thought that the principal themes show less distinction than some of Elgar's earlier works. Elgar himself thought Falstaff the highest point of his purely orchestral work. The major works for voices and orchestra of the twenty-one years of Elgar's middle period are three large-scale works for soloists, chorus and orchestra: The Dream of Gerontius (1900), and the oratorios The Apostles (1903) and The Kingdom (1906); and two shorter odes, the Coronation Ode (1902) and The Music Makers (1912). The first of the odes, as a pièce d'occasion, has rarely been revived after its initial success, with the culminating "Land of Hope and Glory". The second is, for Elgar, unusual in that it contains several quotations from his earlier works, as Richard Strauss quoted himself in Ein Heldenleben. The choral works were all successful, although the first, Gerontius, was and remains the best-loved and most performed. On the manuscript Elgar wrote, quoting John Ruskin, "This is the best of me; for the rest, I ate, and drank, and slept, loved and hated, like another. My life was as the vapour, and is not; but this I saw, and knew; this, if anything of mine, is worth your memory." All three of the large-scale works follow the traditional model with sections for soloists, chorus and both together. Elgar's distinctive orchestration, as well as his melodic inspiration, lifts them to a higher level than most of their British predecessors. Elgar's other works of his middle period include incidental music for Grania and Diarmid, a play by George Moore and W. B. Yeats (1901), and for The Starlight Express, a play based on a story by Algernon Blackwood (1916). Of the former, Yeats called Elgar's music "wonderful in its heroic melancholy". Elgar also wrote a number of songs during his peak period, of which Reed observes, "it cannot be said that he enriched the vocal repertory to the same extent as he did that of the orchestra." Final years and posthumous completions After the Cello Concerto, Elgar completed no more large-scale works. He made arrangements of works by Bach, Handel and Chopin, in distinctively Elgarian orchestration, and once again turned his youthful notebooks to use for the Nursery Suite (1931). His other compositions of this period have not held a place in the regular repertory. For most of the rest of the twentieth century, it was generally agreed that Elgar's creative impulse ceased after his wife's death. Anthony Payne's elaboration of the sketches for Elgar's Third Symphony led to a reconsideration of this supposition. Elgar left the opening of the symphony complete in full score, and those pages, along with others, show Elgar's orchestration changed markedly from the richness of his pre-war work. The Gramophone described the opening of the new work as something "thrilling ... unforgettably gaunt". Payne also subsequently produced a performing version of the sketches for a sixth Pomp and Circumstance March, premiered at the Proms in August 2006. Elgar's sketches for a piano concerto dating from 1913 were elaborated by the composer Robert Walker and first performed in August 1997 by the pianist David Owen Norris. The realisation has since been extensively revised. Reputation Views of Elgar's stature have varied in the decades since his music came to prominence at the beginning of the twentieth century. Richard Strauss, as noted, hailed Elgar as a progressive composer; even the hostile reviewer in The Observer, unimpressed by the thematic material of the First Symphony in 1908, called the orchestration "magnificently modern". Hans Richter rated Elgar as "the greatest modern composer" in any country, and Richter's colleague Arthur Nikisch considered the First Symphony "a masterpiece of the first order" to be "justly ranked with the great symphonic models – Beethoven and Brahms." By contrast, the critic W. J. Turner, in the mid-twentieth century, wrote of Elgar's "Salvation Army symphonies," and Herbert von Karajan called the Enigma Variations "second-hand Brahms". Elgar's immense popularity was not long-lived. After the success of his First Symphony and Violin Concerto, his Second Symphony and Cello Concerto were politely received but without the earlier wild enthusiasm. His music was identified in the public mind with the Edwardian era, and after the First World War he no longer seemed a progressive or modern composer. In the early 1920s, even the First Symphony had only one London performance in more than three years. Wood and younger conductors such as Boult, Sargent and Barbirolli championed Elgar's music, but in the recording catalogues and the concert programmes of the middle of the century his works were not well represented. In 1924, the music scholar Edward J. Dent wrote an article for a German music journal in which he identified four features of Elgar's style that gave offence to a section of English opinion (namely, Dent indicated, the academic and snobbish section): "too emotional", "not quite free from vulgarity", "pompous", and "too deliberately noble in expression". This article was reprinted in 1930 and caused controversy. In the later years of the century there was, in Britain at least, a revival of interest in Elgar's music. The features that had offended austere taste in the inter-war years were seen from a different perspective. In 1955, the reference book The Record Guide wrote of the Edwardian background during the height of Elgar's career: By the 1960s, a less severe view was being taken of the Edwardian era. In 1966 the critic Frank Howes wrote that Elgar reflected the last blaze of opulence, expansiveness and full-blooded life, before World War I swept so much away. In Howes's view, there was a touch of vulgarity in both the era and Elgar's music, but "a composer is entitled to be judged by posterity for his best work. ... Elgar is historically important for giving to English music a sense of the orchestra, for expressing what it felt like to be alive in the Edwardian age, for conferring on the world at least four unqualified masterpieces, and for thereby restoring England to the comity of musical nations." In 1967 the critic and analyst David Cox considered the question of the supposed Englishness of Elgar's music. Cox noted that Elgar disliked folk-songs and never used them in his works, opting for an idiom that was essentially German, leavened by a lightness derived from French composers including Berlioz and Gounod. How then, asked Cox, could Elgar be "the most English of composers"? Cox found the answer in Elgar's own personality, which "could use the alien idioms in such a way as to make of them a vital form of expression that was his and his alone. And the personality that comes through in the music is English." This point about Elgar's transmuting his influences had been touched on before. In 1930 The Times wrote, "When Elgar's first symphony came out, someone attempted to prove that its main tune on which all depends was like the Grail theme in Parsifal. ... but the attempt fell flat because everyone else, including those who disliked the tune, had instantly recognized it as typically 'Elgarian', while the Grail theme is as typically Wagnerian." As for Elgar's "Englishness", his fellow-composers recognised it: Richard Strauss and Stravinsky made particular reference to it, and Sibelius called him "the personification of the true English character in music ... a noble personality and a born aristocrat". Among Elgar's admirers there is disagreement about which of his works are to be regarded as masterpieces. The Enigma Variations are generally counted among them. The Dream of Gerontius has also been given high praise by Elgarians, and the Cello Concerto is similarly rated. Many rate the Violin Concerto equally highly, but some do not. Sackville-West omitted it from the list of Elgar masterpieces in The Record Guide, and in a long analytical article in The Musical Quarterly, Daniel Gregory Mason criticised the first movement of the concerto for a "kind of sing-songiness ... as fatal to noble rhythm in music as it is in poetry." Falstaff also divides opinion. It has never been a great popular favourite, and Kennedy and Reed identify shortcomings in it. In a Musical Times 1957 centenary symposium on Elgar led by Vaughan Williams, by contrast, several contributors share Eric Blom's view that Falstaff is the greatest of all Elgar's works. The two symphonies divide opinion even more sharply. Mason rates the Second poorly for its "over-obvious rhythmic scheme", but calls the First "Elgar's masterpiece. ... It is hard to see how any candid student can deny the greatness of this symphony." However, in the 1957 centenary symposium, several leading admirers of Elgar express reservations about one or both symphonies. In the same year, Roger Fiske wrote in The Gramophone, "For some reason few people seem to like the two Elgar symphonies equally; each has its champions and often they are more than a little bored by the rival work." The critic John Warrack wrote, "There are no sadder pages in symphonic literature than the close of the First Symphony's Adagio, as horn and trombones twice softly intone a phrase of utter grief", whereas to Michael Kennedy, the movement is notable for its lack of anguished yearning and angst and is marked instead by a "benevolent tranquillity." Despite the fluctuating critical assessment of the various works over the years, Elgar's major works taken as a whole have in the twenty-first century recovered strongly from their neglect in the 1950s. The Record Guide in 1955 could list only one currently available recording of the First Symphony, none of the Second, one of the Violin Concerto, two of the Cello Concerto, two of the Enigma Variations, one of Falstaff, and none of The Dream of Gerontius. Since then there have been multiple recordings of all the major works. More than thirty recordings have been made of the First Symphony since 1955, for example, and more than a dozen of The Dream of Gerontius. Similarly, in the concert hall, Elgar's works, after a period of neglect, are once again frequently programmed. The Elgar Society's website, in its diary of forthcoming performances, lists performances of Elgar's works by orchestras, soloists and conductors across Europe, North America and Australia. Honours, awards and commemorations Elgar was knighted in 1904, and in 1911 he was appointed a member of the Order of Merit. In 1920 he received the Cross of Commander of the Belgian Order of the Crown; in 1924 he was made Master of the King's Musick; the following year he received the Gold Medal of the Royal Philharmonic Society; and in 1928 he was appointed a Knight Commander of the Royal Victorian Order (KCVO). Between 1900 and 1931, Elgar received honorary degrees from the Universities of Cambridge, Durham, Leeds, Oxford, Yale (USA), Aberdeen, Western Pennsylvania (USA), Birmingham and London. Foreign academies of which he was made a member were Regia Accademia di Santa Cecilia, Rome; Accademia del Reale Istituto Musicale, Florence; Académie des Beaux Arts, Paris; Institut de France; and the American Academy. In 1931 he was created a Baronet, of Broadheath in the County of Worcester. In 1933 he was promoted within the Royal Victorian Order to Knight Grand Cross (GCVO). In Kennedy's words, he "shamelessly touted" for a peerage, but in vain. In Who's Who, post-First World War, he claimed to have been awarded "several Imperial Russian and German decorations (lapsed)". Elgar was offered, but declined, the office of Mayor of Hereford (despite not being a member of its city council) when he lived in the city in 1905. The same year he was made an honorary freeman of the city of Worcester. The house in Lower Broadheath where Elgar was born is now the Elgar Birthplace Museum, devoted to his life and work. Elgar's daughter, Carice, helped to found the museum in 1936 and bequeathed to it much of her collection of Elgar's letters and documents on her death in 1970. Carice left Elgar manuscripts to musical colleges: The Black Knight to Trinity College of Music; King Olaf to the Royal Academy of Music; The Music Makers to Birmingham University; the Cello Concerto to the Royal College of Music; The Kingdom to the Bodleian Library; and other manuscripts to the British Museum. The Elgar Society dedicated to the composer and his works was formed in 1951. Elgar's statue at the end of Worcester High Street stands facing the cathedral, only yards from where his father's shop once stood. Another statue of the composer by Rose Garrard is at the top of Church Street in Malvern, overlooking the town and giving visitors an opportunity to stand next to the composer in the shadow of the Hills that he so often regarded. In September 2005, a third statue sculpted by Jemma Pearson was unveiled near Hereford Cathedral in honour of his many musical and other associations with the city. It depicts Elgar with his bicycle. From 1999 until early 2007, new Bank of England twenty pound notes featured a portrait of Elgar. The change to remove his image generated controversy, particularly because 2007 was the 150th anniversary of Elgar's birth. From 2007 the Elgar notes were phased out, ceasing to be legal tender on 30 June 2010. There are around 65 roads in the UK named after Elgar, including six in the counties of Herefordshire and Worcestershire. Elgar had three locomotives named in his honour. Elgar's life and music have inspired works of literature including the novel Gerontius and several plays. Elgar's Rondo, a 1993 stage play by David Pownall depicts the dead Jaeger offering ghostly advice on Elgar's musical development. Pownall also wrote a radio play, Elgar's Third (1994); another Elgar-themed radio play is Alick Rowe's The Dorabella Variation (2003). David Rudkin's BBC television "Play for Today" Penda's Fen (1974) deals with themes including sex and adolescence, spying, and snobbery, with Elgar's music, chiefly The Dream of Gerontius, as its background. In one scene, a ghostly Elgar whispers the secret of the "Enigma" tune to the youthful central character, with an injunction not to reveal it. Elgar on the Journey to Hanley, a novel by Keith Alldritt (1979), tells of the composer's attachment to Dora Penny, later Mrs Powell, (depicted as "Dorabella" in the Enigma Variations), and covers the fifteen years from their first meeting in the mid-1890s to the genesis of the Violin Concerto when, in the novel, Dora has been supplanted in Elgar's affections by Alice Stuart-Wortley. Perhaps the best-known work depicting Elgar is Ken Russell's 1962 BBC television film Elgar, made when the composer was still largely out of fashion. This hour-long film contradicted the view of Elgar as a jingoistic and bombastic composer, and evoked the more pastoral and melancholy side of his character and music. Notes and references Notes References Sources Further reading External links The Elgar Society, official site. The Elgar Foundation and Birthplace Museum, official site. "Elgar, Sir Edward William" at The National Archives "The Growing Significance of Elgar", lecture by Simon Mundy, Gresham College, 29 June 2007 1857 births 1934 deaths 19th-century classical composers 19th-century male conductors (music) 19th-century conductors (music) 19th-century English musicians 20th-century classical composers 20th-century British conductors (music) 20th-century English musicians 20th-century British male musicians Academics of the University of Birmingham Baronets in the Baronetage of the United Kingdom Brass band composers British ballet composers British male conductors (music) Burials in Worcestershire Catholic liturgical composers Classical composers of church music Commanders of the Order of the Crown (Belgium) Composers awarded knighthoods Composers for carillon Composers for pipe organ Deaths from cancer in England Deaths from colorectal cancer English classical composers English conductors (music) English male classical composers English Roman Catholics English Romantic composers Knights Grand Cross of the Royal Victorian Order London Symphony Orchestra principal conductors Masters of the King's Music Members of the Accademia Nazionale di Santa Cecilia Members of the Order of Merit Metropolitan Special Constabulary officers Musicians from Worcestershire Oratorio composers People associated with Malvern, Worcestershire People from Worcester, England People of the Victorian era Royal Philharmonic Society Gold Medallists People from Fittleworth
10093
https://en.wikipedia.org/wiki/Eurostar
Eurostar
Eurostar is an international high-speed rail service connecting the United Kingdom with France, Belgium and the Netherlands. Most Eurostar trains travel through the Channel Tunnel between the United Kingdom and France, owned and operated separately by Getlink. The London terminus is London St Pancras International; the other British calling points are Ebbsfleet International and Ashford International in Kent. Intermediate calling points in France are Calais-Fréthun and Lille-Europe. Trains to Paris terminate at Gare du Nord. Trains to Belgium and the Netherlands serve Brussels-South and Rotterdam Centraal, before terminating at Amsterdam Centraal. Additionally, in France there are direct services from London to Marne-la-Vallée–Chessy (Disneyland Paris) and seasonal direct services to southern France (Lyon, Avignon and Marseille) in summer, and to the French Alps in winter. The service is operated by 11 Class 373/1 trainsets, each with 18 coaches, and 17 Class 374 trainsets, each with 16 coaches. The trains run at up to on high-speed lines. The LGV Nord high-speed line in France opened before Eurostar services began in 1994, and newer lines enabling faster journeys were added later: HSL 1 in Belgium and High Speed 1 in south-east England. The French and Belgian parts of the network are shared with Paris–Brussels Thalys services and TGV trains. Eurostar is operated by Eurostar International Limited (EIL), jointly owned by SNCF, the national railway of France (55%), investment firms (40%), and the National Railway Company of Belgium (5%). In December 2021 Eurostar said it intended to move its administrative activities from London to Brussels, citing problems with doing business in the UK and stating that being based in an EU country would make expansion and development easier. Administratively Eurostar is merging with Thalys, combining ticket sales in a single system, but the Eurostar brand and train liveries are to be kept separate from other Thalys operations. History Conception and planning The history of Eurostar can be traced to the choice in 1986 of a rail tunnel to provide a cross-channel link between Britain and France. A previous attempt to construct a tunnel between the two nations had begun in 1974, but was quickly aborted. Construction began afresh in 1988. Eurotunnel was created to manage and own the tunnel, which was finished in 1993, the official opening taking place on 6 May 1994. In addition to the tunnel's shuttle trains carrying cars and lorries between Folkestone and Calais, the tunnel opened up the possibility of through passenger and freight train services between places further afield. British Rail and SNCF contracted with Eurotunnel to use half the tunnel's capacity for this purpose. In 1987, Britain, France and Belgium set up an International Project Group to specify a train to provide an international high-speed passenger service through the tunnel. France had been operating high-speed TGV services since 1981, and had begun construction of a new high-speed line between Paris and the Channel Tunnel, LGV Nord; French TGV technology was chosen as the basis for the new trains. An order for 30 trainsets, to be manufactured in France but with some British and Belgian components, was placed in December 1989. On 20 June 1993, the first Eurostar test train travelled through the tunnel to the UK. Various technical difficulties in running the new trains on British tracks were quickly overcome. Launch of service On 14 November 1994, Eurostar services began running from London Waterloo International station in London, to Paris Gare du Nord in Paris, and Brussels-South railway station in Brussels. The train service started with a limited Discovery service; the full daily service started from 28 May 1995. In 1995, Eurostar was achieving an average end-to-end speed of from London to Paris. On 8 January 1996, Eurostar launched services from a second railway station in the UK when Ashford International was opened. On 23 September 2003, passenger services began running on the first completed section of High Speed 1. Following a high-profile glamorous opening ceremony and a large advertising campaign, on 14 November 2007, Eurostar services in London transferred from Waterloo to the extended and extensively refurbished London St Pancras International. Records achieved The Channel Tunnel used by Eurostar services holds the record for having the longest underwater section of any tunnel in the world, and it is the third-longest railway tunnel (behind the Seikan tunnel and the Gotthard Base Tunnel) in the world. On 30 July 2003, a Eurostar train set a new British speed record of on the first section of the "High Speed 1" railway between the Channel Tunnel, and Fawkham Junction in north Kent, two months before official public services began running. On 16 May 2006, Eurostar set a new record for the longest non-stop high-speed journey, a distance of from London to Cannes taking 7 hours 25 minutes. On 4 September 2007, a record-breaking train left Paris Gare du Nord at 10:44 (09:44 BST) and reached London St Pancras International in 2 hours 3 minutes 39 seconds, carrying journalists and railway workers. This record trip was also the first passenger-carrying arrival at the new London St Pancras International station. On 20 September 2007, Eurostar broke another record when it completed the journey from Brussels to London in 1 hour 43 minutes. Regional Eurostar and Nightstar The original proposals for Eurostar included direct services to Paris and Brussels from cities north of London: Manchester Piccadilly via Birmingham New Street on the West Coast Main Line and Leeds and via Edinburgh Waverley, Newcastle and on the East Coast Main Line. Seven 14-coach "North of London" Eurostar trains for these Regional Eurostar services were built, but these services never came to fruition. Predicted journey times of almost nine hours for Glasgow to Paris at the time of growth of low-cost air travel during the 1990s made the plans commercially unviable against the cheaper and quicker airlines. Other reasons that have been suggested for these services having never been run were both government policies and the disruptive privatisation of British Rail. Three of the Regional Eurostar units were leased by Great North Eastern Railway (GNER) to increase domestic services from London King's Cross to York and later Leeds. The lease expired in December 2005, and most of the NoL sets were transferred to SNCF for TGV services in northern France. An international Nightstar sleeper train was also planned; this would have travelled the same routes as Regional Eurostar, plus the Great Western Main Line to . These were also deemed commercially unviable, and the scheme was abandoned with no services ever operated. In 2000, the coaches were sold to Via Rail in Canada. Ashford International station Ashford International station was the original station for Eurostar services in Kent. Once Ebbsfleet International railway station, also designed to serve Kent, had opened, only three trains a day to Paris Nord and one to Disneyland Paris called at Ashford for a considerable period of time. There were fears that services at Ashford International might be further reduced or withdrawn altogether as Eurostar planned to make Ebbsfleet the new regional hub instead. However, after a period during which no Brussels trains served the station, to the dissatisfaction of the local communities, Eurostar reintroduced a single daily Ashford–Brussels service on 23 February 2009. Changes to corporate structure On 1 September 2010, Eurostar was incorporated as a single corporate entity, Eurostar International Limited (EIL), replacing the joint operation between EUKL, SNCF and SNCB/NMBS. EIL is owned by SNCF (55%), Caisse de dépôt et placement du Québec (CDPQ) (30%), Hermes Infrastructure (10%) and SNCB (5%). In June 2014, the UK shareholding in Eurostar International Limited was transferred from London and Continental Railways / Department for Transport to HM Treasury. That October, it was announced that the UK government planned to raise £300 million by selling its stake. In March 2015, the UK government announced that it would sell its 40% share to an Anglo-Canadian consortium made up of the Caisse and Hermes Infrastructure. The sale was completed in May 2015. Rules for cycles on trains In 2015, Eurostar threatened to require that cyclists dismantle bicycles before they could be transported on the trains. Following criticism from Boris Johnson and cycling groups, Eurostar reversed the plans. Wi-Fi and onboard entertainment By March 2016, onboard entertainment was provided by GoMedia, including Wi-Fi connectivity and up to 300 hours of movies and television kept on the train's servers and accessed using the passenger's own devices: mobile phones, tablets, laptops etc. A tracker app allows customers to see where they are. Merger with Thalys On 27 September 2019, the heads of two of Eurostar's major shareholders, Guillaume Pepy of SNCF, and the chair of SNCB, , publicised that Eurostar was planning to come together with its sister company the Franco-Belgian transnational rail service Thalys. The arrangement is to merge their operations under the working title of "Green Speed" and expand services outside the core London-Paris-Brussels-Amsterdam service, to create a grand Western European high-speed rail service covering the UK, France, Belgium, the Netherlands and Germany, serving up to 30 million customers by 2030. Thalys assisted Eurostar with onwards connections between Amsterdam and Brussels, and to provide the Amsterdam to London service, in lieu of passport and customs checks at Amsterdam Centraal station. Thalys currently uses two ex-Eurostar class 373 trains (half-sets 373213 and 373224) to provide Thalys' no frills service IZY, between Paris and Brussels. In September 2020, the merger between Thalys and Eurostar International was confirmed, a year after Thalys announced its intention to merge with the cross-Channel provider subject to gaining European Commission clearance, to form "Green Speed". SNCF and SNCB already hold a controlling shareholding in Eurostar. In October 2021, it was announced that, following the completion of the merger, the Thalys brand would be discontinued, with all of the new operation's services to be operated under the Eurostar name. COVID-19 Impact By January 2021, Eurostar ridership went down to less than 1% of pre-pandemic levels. The combined financial troubles and lack of ridership caused by the COVID-19 pandemic led to Eurostar seeking governmental assistance from Britain's Treasury and Department for Transport, even though Britain sold its 40% Eurostar holding in 2015. Eurostar's appeal included granting the company access to Bank of England-backed loans and a temporary reduction in track access charges for use of the UK's high-speed rail line. Despite being majority-owned by the French state railway, SNCF, Eurostar was thought to have already exhausted options for governmental assistance from Paris, but both the French transport minister and the UK Department for Transport confirmed they were working on further plans to maintain the service. In March 2020, Eurostar placed all of their Class 373 or E300 into storage due to reduced operations. The sets have rebegun testing on HS1 as of January 2022, with no confirmed date of when they will return. - Mainline routes LGV Nord (France) LGV Nord is a French -long high-speed rail line that connects Paris to the Belgian border and the Channel Tunnel via Lille. It opened in 1993. Its extensions to Belgium and towards Paris, as well as connecting to the Channel Tunnel, have made LGV Nord a part of every Eurostar journey undertaken. A Belgian high-speed line, HSL 1, was added to the end of LGV Nord, at the Belgian border, in 1997. Of all French high-speed lines, LGV Nord sees the widest variety of high-speed rolling stock and is quite busy; a proposed cut-off bypassing Lille, which would reduce Eurostar journey times to Paris, is called LGV Picardie. Channel Tunnel The Channel Tunnel is the most important part of the route as it is the only rail connection between Great Britain and the European mainland. It joins LGV Nord in France with High Speed One in Britain. Tunnelling began in 1988, and the tunnel was officially opened by British sovereign Queen Elizabeth II and the French President François Mitterrand at a ceremony in Calais on 6 May 1994. It is owned by Getlink, which charges a significant toll to Eurostar for its use. In 1996, the American Society of Civil Engineers named the tunnel as one of the Seven Wonders of the Modern World. Along the current route of the Eurostar service, line speeds are except within the Channel Tunnel, where a reduced speed of applies for safety reasons. Since the launch of Eurostar services, severe disruptions and cancellations have been caused by fires breaking out within the Channel Tunnel, such as in 1996, 2006 (minor), 2008 and 2015. HSL 1 (Belgium) Until the opening on 2 June 1996, of the first phase of the Belgian high speed line, Eurostar trains were routed via the Belgian railway line 94. The Eurostar routes still use the line as a diversion if engineering works are taking place on HSL1, depending where it is. The 06:13 from London St Pancras to Brussels still uses the line as a diversion to bypass the peak time disruptions on HSL1 due to the extra TGV services from Brussels for the commuters. After 2 June 1996, some Eurostars to Brussels were routed via the first phase of the Belgian High Speed line and the Belgian railway line 78 via Mons. Although this line is still as a diversion if HSL1 is doing engineering, also depending where the maintenance is taking place. Journey times between London and Brussels were improved when an Belgian high-speed line, HSL 1, opened on 14 December 1997. It links with LGV Nord on the border with France, allowing Eurostar trains heading to Brussels to make the transition between the two without having to reduce speed. A further four-minute improvement for London–Brussels trains was achieved in December 2006, with the opening of the Brussels South Viaduct. Linking the international platforms of Brussels-South railway station with the high-speed line, the viaduct separates Eurostar (and Thalys) from local services. High Speed 1 (United Kingdom) High Speed 1 (HS1), formerly known as the Channel Tunnel Rail Link (CTRL), is a high-speed railway line running from London through Kent to the British end of the Channel Tunnel. It was built in two stages. The first section between the tunnel and Fawkham Junction in north Kent opened in September 2003, cutting London–Paris journey times by 21 minutes to 2 hours 35 minutes, and London–Brussels to 2 hours 20 minutes. On 14 November 2007, commercial services began over the whole of the new HS1 line. The redeveloped St Pancras International station became the new London terminus for all Eurostar services. The completion of High Speed 1 has brought the British part of Eurostar's route up to the same standards as the French and Belgian high-speed lines. Non-stop journey times were reduced by a further 20 minutes to 2 hours 15 minutes for London–Paris and 1 hour 51 minutes for London–Brussels. As of fall 2020, HS1 is the UK's first renewable-powered railway. Services Frequency Eurostar offers up to fifteen weekday London – Paris services (nineteen on Fridays) including nine non-stop (thirteen on Fridays). There are also nine (ten on Friday) London–Brussels services, with two running non-stop (continuing to Amsterdam) and a further two calling at Lille only. One service daily operates to Amsterdam via Brussels and Rotterdam also calling at Lille. In addition, there is a return trip from London to Marne-la-Vallée - Chessy for Disneyland Paris, which runs 4 times a week with increased frequency during school holidays. There are also seasonal services: an up-to-4-times-a-week service to Marseille via Lyon and Avignon in the summer; and, in the winter, "Snow trains", aimed at skiers, to Bourg-Saint-Maurice, Aime-la-Plagne and Moûtiers in the Alps; these run twice-weekly, one overnight and one during the daytime. Intermediate stations are Ebbsfleet International in northwest Kent, Ashford International in southeast Kent, and Calais-Fréthun and Lille-Europe in Nord-Pas-de-Calais. In February 2018, Eurostar announced the start of its long-planned service from London to Amsterdam, with an initial two trains per day from April of that year running between St Pancras and Amsterdam Centraal. This launched as a one-way service, with return trains carrying passengers to Rotterdam and Brussels Midi/Zuid, making a 28-minute stop (which was not deemed long enough to process UK-bound passengers) and then carrying different passengers from Brussels to London. Initially passengers travelling back took a Thalys service to Brussels Midi/Zuid where they could join the Eurostar. This was due to the lack of facilities for juxtaposed controls by the UK Border Force at Amsterdam Centraal and Rotterdam Centraal. On 4 February 2020, the Dutch Minister of Infrastructure and Water Management, Cora van Nieuwenhuizen, and the UK Transport Secretary, Grant Shapps, announced that juxtaposed controls would be established at Amsterdam Centraal and Rotterdam Centraal. The direct train from Amsterdam was originally due to launch on 30 April 2020, and from Rotterdam on 18 May 2020, although it was later postponed to 26 October 2020 for both cities due to the COVID-19 pandemic. Since 14 November 2007, all Eurostar trains have been routed via High Speed 1 to or from the redeveloped London terminus at St Pancras International, which at a cost of £800 million was extensively rebuilt and extended to cope with long Eurostar trains. It had been intended to retain some Eurostar services at Waterloo International, but this was ruled out on cost grounds. Completion of High Speed 1 increased the potential number of trains serving London. Separation of Eurostar from British domestic services through Kent meant that timetabling was no longer affected by peak-hour restrictions. Fares Eurostar's fares were significantly higher in its early years; the cheapest fare in 1994 was £99 return. In 2002, Eurostar was planning cheaper fares, an example of which was an offer of £50-day returns from London to Paris or Brussels. By March 2003, the cheapest fare from the UK was £59 return, available all year around. In June 2009 it was announced that one-way single fares would be available at £31 at the cheapest. Competition between Eurostar and airline services was a large factor in ticket prices being reduced from the initial levels. Business Premier fares also slightly undercut air fares on similar routes, targeted at regular business travellers. In 2009, Eurostar greatly increased its budget ticket availability to help maintain and grow its dominant market share. The Eurostar ticketing system is very complex, being distributed through no fewer than 48 individual sales systems. Eurostar is a member of the Amadeus CRS distribution system, making its tickets available alongside those of airlines worldwide. Eurostar has two sub-classes of first class: Standard Premier and Business Premier; benefits include guaranteed faster checking-in and meals served at-seat, as well as the improved furnishings and interior of carriages. The rebranding is part of Eurostar's marketing drive to attract more business professionals. Increasingly, business people in a group have been chartering private carriages as opposed to individual seats on the train. Service connections Without the operation of Regional Eurostar services using the North of London trainsets across the rest of Britain, Eurostar has developed its connections with other transport services instead, such as integrating effectively with traditional UK rail operators' schedules and routes, making it possible for passengers to use Eurostar as a quick connection to further destinations on the continent. All three main terminals used by the Eurostar service – St Pancras International, Paris Gare du Nord, and Brussels Midi/Zuid – are served by domestic trains and by local urban transport networks such as the London Underground and the Paris Metro. Standard Eurostar tickets no longer include free onward connections to or from any other station in Belgium: this is now available for a flat-rate supplement, currently £5.50. Eurostar has announced several partnerships with other rail services, most notably Thalys connections at Lille and Brussels for passengers to go beyond current Eurostar routes towards the Netherlands and Germany. In 2002, Eurostar initiated the Eurostar-Plus program, offering connecting tickets for onward journeys from Lille and Paris to dozens of destinations in France. Through fares are also available from 68 British towns and cities to destinations in France and Belgium. In May 2009 Eurostar announced that a formal connection to Switzerland had been established in a partnership between Eurostar and Lyria, which will operate TGV services from Lille to the Swiss Alps for Eurostar connection. In May 2019, Eurostar ended its agreement with Deutsche Bahn that allowed passengers to travel by train from the UK to Germany, Austria and Switzerland. Under the agreement passengers could travel on a single booking which made rescheduling easier. However, the direct tickets will no longer be sold from 9 November 2019. Controls and security Because the UK is not part of the European Union or the Schengen Area, and because the Netherlands, Belgium and France are not part of the Common Travel Area, all Eurostar passengers must go through border controls. Both the British Government and the Schengen governments concerned (Belgium, Netherlands and France) have legal obligations to check the travel documents of those entering and leaving their respective countries. To allow passengers to walk off the train without arrival checks in most cases, juxtaposed controls ordinarily take place at the embarkation station. To comply with UK law, there are full security checks similar to those at airports, scanning both bags and people's pockets. The recommended check-in time is 90-120 minutes except for business class where it is 45-60 minutes; these are much longer than previously because of extra checks in place due to Brexit and the COVID-19 pandemic. Eurostar passengers travelling within the Schengen area on trains towards London bypass border checks, and enter the preallocated cars at the rear of the train, which are reserved for these passengers. This area is then searched at Lille and all passengers removed. This arrangement was set up after numerous people entered the UK without prior authorisation, by buying a ticket from Brussels to Lille or Calais but remaining on the train until London – an issue exacerbated by Belgian police threatening to arrest UK Border Agency staff at Brussels-Midi if they tried to prevent passengers whom they suspected of attempting to exploit this loophole from boarding Eurostar trains. Travel from Calais or Lille towards Brussels and the Netherlands has no border or security control. On 7 July 2020 a modified agreement was signed in Brussels that includes The Netherlands in the previous agreement. This allows for juxtaposed controls in Amsterdam and Rotterdam like those in Brussels and Paris. When the tripartite agreements were signed, the Belgian Government said that it had serious questions about the compatibility of this agreement with the Schengen Convention and the principle of free movement of people enshrined in various European treaties. On 30 June 2009 Eurostar raised concerns at the UK House of Commons Home Affairs Select Committee that it was illegal under French law to collect the information required by the UK government under the e-Borders scheme, and the company would be unable to cooperate. On the northbound Marne la Vallée-Chessy - London train, the security check and French passport check take place at Marne la Vallée-Chessy, while the UK passport check takes place at the UK arrival stations. This is the only route where passengers are not cleared by UK border officials before crossing the Channel. On the northbound Marseille-London train, there is no facility for security or passport checks at the southern French stations, so passengers must leave the train at Lille-Europe, taking all their belongings with them, and undergo security and border checks there before rejoining the train which waits at the station for just over an hour. On several occasions, people have tried to stow away illegally on board the train, sometimes in large groups, trying to enter the UK; border monitoring and security is therefore extremely tight. Eurostar claims to have good and well-funded security measures. Operational performance Eurostar's punctuality has fluctuated from year to year, but usually remains over 90%; in the first quarter of 1999, 89% of services operated were on time, and in the second quarter it reached 92%. Eurostar's best punctuality record was 97.35%, between 16 and 22 August 2004. In 2006, it was 92.7%, and in 2007, 91.5% were on time. In the first quarter of 2009, 96% of Eurostar services were punctual, compared with rival air routes' 76%. An advantage held by Eurostar is the convenience and speed of the service: with shorter check-in times than at most airports and hence quicker boarding and less queueing and high punctuality, it takes less time to travel between central London and central Paris by high-speed rail than by air. Eurostar now has a dominant share of the combined rail–air market on its routes to Paris and Brussels. In 2004, it had a 66% share of the London–Paris market, and a 59% share of the London–Brussels market. In 2007, it achieved record market shares of 71% for London–Paris and 65% for London–Brussels routes. Eurostar's passenger numbers initially failed to meet predictions. In 1996, London and Continental Railways forecast that passenger numbers would reach 21.4 million annually by 2004, but only 7.3 million was achieved. 82 million passengers used Waterloo International Station from its opening in 1994 to its closure in 2007. 2008 was a record year for Eurostar, with a 10.3% rise in passenger use, which was attributed to the use of High Speed 1 and the move to St Pancras. The following year, Eurostar saw an 11.5% fall in passenger numbers during the first three months of 2009, attributed to the 2008 Channel Tunnel fire and the 2009 recession. As a result of the poor economic conditions, Eurostar received state aid in May 2009 to cancel out some of the accumulated debt from the High Speed 1 construction programme. Later that year, during snowy conditions in the run-up to Christmas, thousands of passengers were left stranded as several trains broke down and many more were cancelled. In an independent review commissioned by Eurostar, the company came in for serious criticism about its handling of the incident and lack of plans for such a scenario. In 2006, the Department for Transport predicted that, by 2037, annual cross-channel passenger numbers would probably reach 16 million, considerably less optimistic than London and Continental Railways's original 1996 forecast. In 2007 Eurostar set a target of carrying 10 million passengers by 2010. The company cited several factors to support this objective, such as improved journey times, punctuality and station facilities. Passengers in general, it stated, are becoming increasingly aware of the environmental effects of air travel, and Eurostar services emit much less carbon dioxide. and that its remaining carbon emissions are now offset, making its services carbon neutral. Further expansion of the high-speed rail network in Europe, such as the HSL-Zuid line between Belgium and the Netherlands, continues to bring more destinations within rail-competitive range, giving Eurostar the possibility of opening up new services in future. The following chart presents the estimated number of passengers annually transported by the Eurostar service since 1995: Awards and accolades Eurostar has been hailed as having set new standards in international rail travel and has won praise several times over for its high standards. However, Eurostar had previously struggled with its reputation and brand image. One commentator had defined the situation at the time as: Eurostar won the Train Operator of the Year award in the HSBC Rail Awards for 2005. In 2006, Eurostar's Environment Group was set up, with the aim of making changes in the Eurostar services' daily running to decrease negative environmental impact. The organization set itself a target of reducing carbon emissions per passenger journey by 25% by 2012. Drivers were trained in techniques to achieve maximum energy efficiency, and lighting was minimised; the provider of the bulk of the energy for the Channel Tunnel was switched to nuclear power stations in France. Eurostar's target was to reduce emissions by 35 percent per passenger journey by 2012, putting itself beyond the efforts of other railway companies in this field and thereby winning the 2007 Network Rail Efficiency Award. In the grand opening ceremony of St Pancras International, one of the Eurostar trains was given the name 'Tread Lightly', said to symbolise their smaller impact on the environment compared to planes. By 2008, Eurostar's environmental credentials had become highly developed and promoted. Since then, Eurostar has received multiple awards. It was declared the Best Train Company in the joint Guardian/Observer Travel Awards 2008 and earned a spot on the Sunday Times' Best Green Companies List (2009). Other awards include: ICARUS’ Environmental Award for Best Rail Provider (2009), Guardian & Observer Travel Award for Best Train Company (2009), Travel Weekly's Golden Globes Award for Best Rail Operator (2010), World Travel Market's Responsible Tourism Award for Best Low Carbon Initiative (2011), TNT Magazine's Gold Backpack Award for Favourite Travel Transport (2012), World Travel Awards Europe's Leading Passenger Rail Operator (2011), National Rail Awards Train of the Year (2017), PETA's Travel Award for Best Travel Experience (2019), Mobile Industry Awards' Distributor of the Year (2020). Environmental Initiatives In 2007, Eurostar became the world's first carbon-neutral train service through its launch of "Tread Lightly," an environmental programme with the goal of reducing the service's carbon-dioxide emissions by 25% by 2012. The programme included: reducing power consumption on its rolling stock; sourcing more electricity from lower-emission generators; adding new controls on lighting, heating, and air conditioning; reducing paper usage via electronic tickets; recycling water and employee uniforms; sourcing all food on board from Britain, France, or Belgium. Eurostar also funded three renewable energy projects in developing regions around the world: a windfarm in Tamil Nadu, India; a micro-hydropower project in China; and a plan specifying improvements on fuel consumption of three-wheeler taxis in Indonesia. In 2019, Eurostar removed all single-use plastics from its trains between London and Paris. Now the trains serve only wooden cutlery, recyclable cans of water, glass wine bottles, paper-based coffee cups, and eco-friendly food packaging. Eurostar partnered with the Woodland Trust, ReforestAction, and Trees for All in 2020, with the goal of planting 20,000 trees each year in woodlands along its routes across the UK, Belgium, and the Netherlands. Since Tread Lightly launched, Eurostar has reduced its carbon footprint by over 40% and now emits up to 90% less greenhouse gas emissions than the equivalent flight. Organisation Since 2010, Eurostar has been owned by Eurostar International Limited (EIL), a company jointly owned by SNCF (55%), (CDPQ) (30%), Hermes Infrastructure (10%) and SNCB (5%). Railteam Eurostar is a member of Railteam, a marketing alliance formed in July 2007 of seven European high-speed rail operators. The alliance plans to allow tickets to be booked from one end of Europe to the other on a single website. In June 2009 London and Continental Railways, and the Eurostar UK operations they held ownership of, became fully nationalised by the UK government. Domestic journeys Eurostar is not permitted to carry passengers on journeys within a country, so passengers cannot travel (for example) from Lille to Marne-la-Vallée–Chessy, London to Ashford, or Rotterdam to Amsterdam. International journeys within the Schengen area, such as Lille to Brussels, are possible. Fleet Fleet details In addition to its multiple unit fleet units, Eurostar operates a single Class 08 diesel shunter as the pilot at Temple Mills depot. Current fleet Class 373 Built between 1992 and 1996, Eurostar's fleet consists of 38 EMU trains, designated Class 373 in the United Kingdom and TGV TMST in France. The units have also been branded as the Eurostar e300 by Eurostar since 2015. There are two variants: 31 "Inter-Capital" sets consisting of two power cars and eighteen passenger carriages. These trains are long and can carry 750 passengers: 206 in first class, 544 in standard class. 7 shorter "North of London" sets which have two power cars and fourteen passenger carriages and are long. These sets have a capacity of 558 seats: 114 first class, 444 standard and which were designed to operate the aborted Regional Eurostar services. The trains are essentially modified TGV sets, and can operate at up to on high-speed lines, and in the Channel Tunnel. It is possible to exceed the 300 km/h speed limit, but only with special permission from the safety authorities in the respective country. Speed limits in the Channel Tunnel are dictated by air-resistance, energy (heat) dissipation and the need to be used with other, slower trains. The trains were designed with Channel Tunnel safety in mind, and consist of two independent "half-sets" each with its own power car. In the event of a serious fire on board while travelling through the tunnel, passengers would be transferred into the undamaged half of the train, which would then be detached and driven out of the tunnel to safety. If the undamaged part were the rear half of the train, this would be driven by the Chef du Train, who is a fully authorised driver and occupies the rear driving cab while the train travels through the tunnel for this purpose. As 27 of the 31 Inter-Capital sets are sufficient to operate the service, four are currently used by SNCF for domestic TGV services; one of these regularly operates a Paris–Lille shuttle. The Eurostar logos have been removed from these sets, but the base colours of white, black, and yellow remain. SNCF's lease of the sets is scheduled to last until 2011, with an option for a further two years. Each train has a unique four-digit number starting with "3" (3xxx). This designates the train as a Mark 3 TGV (Mark 1 being SNCF TGV Sud-Est; Mark 2 being SNCF TGV Atlantique). The second digit denotes the country of ownership: 30xx UK 31xx Belgium 32xx France 33xx Regional Eurostar Fleet updates In 2004–2005 the "Inter-Capital" sets still in daily use for international services were refurbished with a new interior designed by Philippe Starck. The original grey-yellow scheme in Standard class and grey-red of First/Premium First were replaced with a grey-brown look in Standard and grey-burnt-orange in First class. Power points were added to seats in First class and coaches 5 and 14 in Standard class. Premium First class was renamed BusinessPremier. In 2008, Eurostar announced that it would be carrying out a mid-life refurbishment of its Class 373 trains to allow the fleet to remain in service beyond 2020. This will include the 28 units making up the Eurostar fleet, but not the three Class 373/1 units used by SNCF or the seven Class 373/2 "North of London" sets. As part of the refurbishment, the Italian company Pininfarina was contracted to redesign the interiors, and The Yard Creative was selected to design the new buffet cars. On 11 May 2009 Eurostar revealed the new look for its first-class compartments. The first refurbished train was due in service in 2012, and Eurostar plans to have completed the entire process by 2014. On 13 November 2014 Eurostar announced the first refurbished trains would not re-enter the fleet until the 3rd or 4th quarter of 2015 due to delays at the completion centre. The last refurbished e300 re-entered service in April 2019. Class 374 In addition to the announced mid-life update of the existing Class 373 fleet, Eurostar in 2009 reportedly entered prequalification bids for eight new trainsets to be purchased. Any new trains would need to meet the same safety rules governing passage through the Channel Tunnel as the existing Class 373 fleet. The replacement to the Class 373 trains has been decided jointly between the French Transport Ministry and the UK Department for Transport. The new trains will be equipped to use the new ERTMS in-cab signalling system, due to be fitted to High Speed 1 around 2040. On 7 October 2010, it was reported that Eurostar had selected Siemens as preferred bidder to supply 10 Siemens Velaro e320 trainsets at a cost of €600 million (and a total investment of more than £700 million with the refurbishment of the existing fleet included) to operate an expanded route network, including services from London to Cologne and Amsterdam. These would be sixteen-car, long trainsets built to meet current Channel Tunnel regulations. The top speed will be and they will have 894–950 seats, unlike the current fleet built by the French company Alstom, which has a top speed of and a seating capacity of 750. Total traction power will be rated at 16 MW. The nomination of Siemens would see it break into the French high-speed market for the first time, as all French and French subsidiary high-speed operators use TGV derivatives produced by Alstom. Alstom attempted legal action to prevent Eurostar from acquiring German-built trains, claiming that the Siemens sets ordered would breach Channel Tunnel safety rules, but this was thrown out of court. Alstom said, after its High Court defeat, that it would "pursue alternative legal options to uphold its position". On 4 November 2010, the company lodged a complaint with the European Commission over the tendering process, which then asked the British government for "clarification". Alstom then announced it had started legal action against Eurostar, again in the High Court in London. In July 2011, the High Court rejected Alstom's claim that the tender process was "ineffective", and in April 2012 Alstom said it would call off pending court actions against Siemens. This effectively freed the way for Siemens to build the new Eurostar trains, the first of which were expected to enter service in late 2015. On 13 November 2014 Eurostar announced the purchase of an additional seven e320s for delivery in the second half of 2016. At the same time, Eurostar announced the first five e320s from the original order of ten would be available by December 2015, with the remaining five entering service by May 2016. Of the five sets ready by December 2015, three of them were planned to be used on London-Paris and London-Brussels routes. Past fleet Possible use of double-deck trains In 2005, the chief executive of Eurostar, Richard Brown, suggested that existing Eurostar trains could be replaced by double-deck trains similar to the TGV Duplex units when they are withdrawn from service. According to Brown, a double-deck fleet could carry 40 million passengers per year from Britain to Continental Europe, equivalent to adding an extra runway at a London airport. Accidents, incidents and events A number of technical incidents have affected Eurostar services over the years, but there has only been one major accident involving a service operated by Eurostar, a derailment in June 2000. Other incidents in the Channel Tunnel – such as the 1996 and 2008 Channel Tunnel fires – have affected Eurostar services but were not directly related to Eurostar's operations. However, the breakdowns in the tunnel, which resulted in cessation of service and inconvenience to thousands of passengers, in the run-up to Christmas 2009, proved a public-relations disaster. Minor incidents There have been several minor incidents with a few Eurostar services. In October 1994 there were teething problems relating to the start of operations. The first preview train, carrying 400 members of the press and media, was delayed for two hours by technical problems. On 29 May 2002 a Eurostar train was initially sent down a wrong line – towards London Victoria railway station instead of London Waterloo – causing the service to arrive 25 minutes late. A signalling error that led to the incorrect routeing was stated to have caused "no risk" as a result. On 11 April 2006, a house collapsed next to a railway line near London which caused Eurostar services to have to terminate and start from Ashford International instead of London Waterloo. Passengers waiting at Waterloo International were initially directed on to local trains towards Ashford leaving from the adjacent London Waterloo East railway station, until overcrowding occurred at Ashford. 1996 Approximately 1,000 passengers were trapped in darkness for several hours inside two Eurostar trains on the night of 19/20 February 1996. The trains stopped inside the tunnels due to electronic failures caused by snow and ice. Questions were raised at the time about the ability of the train and tunnel electronics to withstand the mix of snow, salt and ice which collect in the tunnels during periods of extreme cold. 2000 On 5 June 2000 a Eurostar train travelling from Paris to London derailed on the LGV Nord high-speed line while traveling at . Fourteen people were treated for light injuries or shock, with no fatalities or major injuries. The articulated nature of the trainset was credited with maintaining stability during the incident and all of the train stayed upright. The incident was caused by a traction link on the second bogie of the front power car coming loose, leading to components of the transmission system on that bogie impacting the track. 2007 The first departures from St Pancras on 14 November 2007 coincided with an open-ended strike by French rail unions as part of general strike actions over proposed public-sector pension reforms. The trains were operated by uninvolved British employees and service was not interrupted. 2009 On 23 September 2009 an overhead power line dropped on to a Class 373 train arriving at St Pancras station, activating a circuit breaker and delaying eleven other trains. Two days later, on 25 September 2009, electrical power via the overhead lines was lost on a section of high-speed line outside Lille, delaying passengers on two evening Eurostar-operated services. During the December 2009 European snowfall, five Eurostar trains broke down inside the Channel Tunnel, after leaving France, and one in Kent on 18 December. Although the trains had been winterised, the systems had not coped with the conditions. Over 2,000 passengers were stuck inside failed trains inside the tunnel, and over 75,000 had their services disrupted. All Eurostar services were cancelled from Saturday 19 December to Monday 21 December 2009. An independent review, published on 12 February 2010, was critical of the contingency plans in place for assisting passengers stranded by the delays, calling them "insufficient". 2010 On 7 January 2010 a Brussels-London train broke down in the Channel Tunnel, resulting in three other trains failing to complete their journeys. The cause of the failure was the onboard signalling system. Due to the severe weather, a limited service was operated in the next few days. On 15 February 2010, services between Brussels and London were interrupted following the Halle train collision, this time after the dedicated HSL 1 lines in the suburbs of the Belgian capital were blocked by debris from a serious train crash on the suburban commuter lines alongside. No efforts were made to reroute trains around the blockage; Eurostar instead terminated services to Brussels at Lille, directing passengers to continue their journey on local trains. Brussels services resumed on a limited scale on 22 February. On 21 February 2010 the 21:43 service from Paris to London broke down just outside Ashford International, stranding 740 passengers for several hours while a rescue train was called in. On 15 April 2010 air traffic in Western Europe closed because of the eruption of the Eyjafjallajökull volcano. Many travellers between the UK and the European mainland instead took the Eurostar train, all tickets between Brussels and London on 15 and 16 April being sold out within 3½ hours after the closure of British airspace. Between 15 and 20 April, Eurostar put on 33 additional trains and carried 165,000 passengers – 50,000 more than had been scheduled to travel during this period. On 20 December 2010, the Channel Tunnel was closed off for a day due to snowy weather. Eurostar Trains were suspended that day with thousands of passengers stranded in the run up to Christmas. 2011 On 17 October 2011 a man fell from the 17:04 service from London to Brussels as it passed through Westenhanger and Cheriton in Folkestone, near the entry to the Channel Tunnel. The individual was an Albanian who had been refused entry to the United Kingdom and was voluntarily returning to Brussels. He was pronounced dead at the scene. The line was closed for several hours following the incident. The train itself returned north to Ashford International, where passengers were transferred to a Eurostar service operating from Marne-la-Vallée to London. Possible developments Stratford International station Eurostar trains do not currently call at , originally intended to be the London stop for the regional Eurostars. This was to be reviewed following the 2012 Olympics. However, in 2013, Eurostar claimed that its 'business would be hit' by stopping trains there. Regional Eurostar Although the original plan for Regional Eurostar services to destinations north of London was abandoned, the significantly improved journey times available since the opening of High Speed 1 — which is physically connected to both the East Coast Main Line and the North London Line (for the West Coast Main Line) at London St Pancras International – and the increased maximum speeds on the West Coast Main Line since the 2000s may make potential Regional Eurostar services more commercially viable. This would be even more likely if proposals are adopted for a new high-speed line from London to the north of Britain. Simon Montague, Eurostar's Director of Communications, commented that: "...International services to the regions are only likely once High Speed 2 is built." However, as of 2014 the current plans for High Speed 2 do not allow for a direct rail link between that new line, and High Speed 1, meaning passengers would still be required to change at London Euston and take some form of transportation to London St Pancras International. Key pieces of infrastructure still belong to LCR via its subsidiary London & Continental Stations and Property, such as the Manchester International Depot, and Eurostar (UK) still owns several track access rights and the rights to paths on both the East Coast Main Line and the West Coast Main Line. While no announcement has been made of plans to start Regional Eurostar services, it remains a possibility for the future. In the meantime, the closest equivalent to Regional Eurostar services are same-station connections with East Midlands Railway and Thameslink, changing at London St Pancras International. The construction of a new concourse at adjacent London King's Cross improved interchange with St Pancras and provided London North Eastern Railway, Great Northern, Hull Trains and Grand Central services with easier connections to Eurostar. High Speed 2 Eurostar has already been involved in reviewing and publishing reports into High Speed 2 for the British Government and looks favourably upon such an undertaking. The operation of Regional Eurostar services will not be considered until such time as High Speed 2 has been completed. Alternatively, future loans of the North of London sets to other operators would enable the trains to operate at their full speed, unlike GNER's previous loan between 2000 and 2005, where the trains were limited to on regular track. LGV Picardie LGV Picardie is a proposed high-speed line between Paris and Calais via Amiens. By cutting off the corner of the LGV Nord at Lille, it would enable Eurostar trains to save 20 minutes on the journey between Paris and Calais, bringing the London–Paris journey time under 2 hours. In 2008 the French Government announced its future investment plans for new LGVs to be built up to 2020; LGV Picardie was not included but was listed as planned in the longer term. New destinations Operational difficulties with cross-border trains The reduced journey times offered by the opening of High Speed 1 and the opening of the LGV Est and HSL-Zuid bring more continental destinations within a range from London where rail is competitive with air travel. By Eurostar's estimates a train would then take 3 hours 30 minutes from London to Amsterdam. At present Eurostar is concentrating on developing its connections with other services, but direct services to other destinations would be possible. With the new e320 rolling stock allowed Eurostar to enter the Netherlands and possibly Germany in future. In additional with every new country Eurostar enters there are security issues, due to the UK's not having signed up to the Schengen Agreement, which allows unrestricted movement across borders of member countries. For example, the Amsterdam to London route was previously direct in only one way, with people needing to get a train to Brussels to go through the juxtaposed controls; the direct connection was subject to talks between the UK and Dutch governments, and became completed in 2020 for services to start. The difficulties that Eurostar faces in expanding its services would also be faced by any potential competitors to Eurostar. As the UK is outside the Schengen Agreement, London-bound trains must use platforms that are physically isolated, a constraint which other international operators such as Thalys do not face. In addition, the British authorities are required to make passenger security and passport checks before they board the train, which might deter domestic passengers. Compounding the difficulties in providing a similar service are the Channel Tunnel safety rules, the major ones being the "half-train rule" and the "length rule". The "half-train rule" stipulated that passenger trains had to be able to split in the case of emergency. Class 373 trains were designed as two half-sets, which when coupled form a complete train, enabling them to be split easily in the event of an emergency while in the tunnel, with the unaffected set able to be driven out. The half-train rule was finally abolished in May 2010. However, the "length rule", which states that passenger trains must be at least 375 metres long with a through corridor (to match the distance between the safety doors in the tunnel), was retained, preventing any potential operators from applying to run services with existing fleets (the majority of both TGV and ICE trains are only 200m long). French high-speed rail expansion Eurostar expansion At the same time as Pepy's announcement, Richard Brown announced that Eurostar's plans for expanding its network potentially included Amsterdam and Rotterdam as destinations, using the HSL Zuid line. This would require either equipment upgrades of the existing fleet, or a new fleet equipped for both ERTMS and the domestic signalling systems used by Nederlandse Spoorwegen. Following the December 2009 opening of HSL Zuid, a London–Amsterdam journey is estimated to take 4 hr 16 min. In an interview with Eurostar's Chief Executive Nicolas Petrovic in the Financial Times in May 2012, an intention for Eurostar to serve ten new destinations was expressed, including Amsterdam, Frankfurt, Cologne, Lyon, Marseille and Geneva, along with a likely second hub to be created in Brussels. In March 2016 in an interview with Bloomberg, Eurostar's Chief Executive expressed interest in operating a direct train service between London and Bordeaux, but not before 2019. Journey time was said to be around four and a half hours using the new LGV Sud Europe Atlantique. Southern France In December 2012 Eurostar announced that on Saturdays during May 2013–June 2013 a new seasonal service would be introduced to Aix-en-Provence, also serving Lyon Part-Dieu and Avignon TGV on the way (the latter being from central Avignon). This is in addition to the long-standing seasonal summer service on Saturdays during July and August and the first week of September travelling to Avignon Centre. The Aix-en-Provence services did not run in 2014 but was replaced along with the seasonal Avignon Centre services with the new year-round service to Lyon and Marseille as of 1 May 2015. In 2018, at least, direct services to Lyon, Avignon and Marseille ran only from May to September, with connections during the rest of the year being offered via Eurostar but requiring a change to SNCF trains in Paris or Lille. Travel time from London to Marseille was roughly 6.5 hours in 2018. Netherlands In September 2013, Eurostar announced an agreement with the Government of Netherlands and NS, the Dutch railway company, to start twice daily services between London and Amsterdam Centraal; the launch was initially planned for December 2016. The service will use the newly bought Siemens Velaro trainsets and will also call at Brussels, and Rotterdam. The journey time will be around four hours. Initially, trains stop in Brussels for about half an hour to allow domestic passengers from Amsterdam and Rotterdam to leave and allow London bound passengers to board. Eventually, Passengers for London from Amsterdam and Rotterdam will undertake all security checks before boarding and will be able to travel direct both ways. The trains will also convey passengers from the Netherlands on journeys to Brussels who will not need to pass through security and they will be allocated half the train which will be kept separate from the London-bound passengers by locking the intermediate door. The Brussels-bound half of the train will be security swept on arrival at Brussels before Brussels-to-London passengers can board. The journey from London to Amsterdam Centraal will take 3 hr 41 min and trains will call at Brussels Zuid/Midi and Rotterdam Centraal Station. From Amsterdam Centraal to London St Pancras, trains will take 4 hr 9 min to include the 28-minute stop at Brussels. In November 2014, Eurostar announced the service to Amsterdam would start in "2016-2017", and would include a stop at Schiphol Airport in addition to the previously announced destinations. Eurostar have indicated that the calling pattern 'is not set in stone' and if a business case supports it the service might be extended to additional cities such as Utrecht. The service was finally planned to start running on 4 April 2018, with fare prices starting at £35 for a single ticket. An "inaugural train" from St Pancras International to Amsterdam via Rotterdam broke a speed record for the journey to Brussels (1hr 46mins) on 20 February 2018. The first regular service to Amsterdam left St Pancras at 08:31 on 4 April 2018. The direct Amsterdam to London service launched on 26 October 2020 with two trains a day Monday - Friday. Until that date, a change in Brussels for passport controls and security added about an hour to journey time. Eurostar stated that the new journey time to London was 4 hr 9 min from Amsterdam, and 3 hr 29 min from Rotterdam. Competition In 2010, international rail travel was liberalised by new European Union directives, designed to break up monopolies in order to encourage competition for services between countries. This sparked interest among other companies in providing services in competition to Eurostar and new services to destinations beyond Paris and Brussels. The only rail carrier to formally propose and secure permission for such a service up to now is Deutsche Bahn, which intends to run services between London and Germany and the Netherlands. The sale of High Speed One by the British Government having effectively nationalised LCR in June 2009 is also likely to stimulate competition on the line. In March 2010, it was announced that Eurotunnel was in discussions with the Intergovernment Commission, which oversees the tunnel, with the aim of amending elements of the safety code governing the tunnel's usage. Most saliently, the requirement that trains be able to split within the tunnel and each part of the train be driven out to opposite ends has been removed. However, the proposal to allow shorter trains was not passed. Eurotunnel Chairman & Chief Executive Jacques Gounon said that he hoped the liberalisation of rules would allow entry into the market of competitors such as Deutsche Bahn. Sources at Eurotunnel suggested that Deutsche Bahn could have entered the market at the timetable change in December 2012. This, however, did not happen. In July 2010 Deutsche Bahn (DB) announced that it intended to make a test run with a high-speed ICE-3MF train through the Channel Tunnel in October 2010 in preparation for possible future operations. The trial ran on 19 October 2010 with a Class 406 ICE train specially liveried with a British "Union flag" decal. The train was then put on display for the press at St Pancras International. However, this is not the class of train that would be used for the proposed service. At the St Pancras ceremony, DB revealed that it planned to operate from London to Frankfurt and Amsterdam (two of the biggest air travel markets in Europe), with trains 'splitting & joining' in Brussels. It hoped to begin these services in 2013 using Class 407 ICE units, with three trains per day each way—morning, midday and afternoon. Initially the only calling points would be Rotterdam on the way to Amsterdam, and Cologne on the way to Frankfurt. Amsterdam and Cologne would be under four hours from London, Frankfurt around five hours. DB decided to put this on hold mainly due to advance passport check requirements. DB had hoped that immigration checks could be done on board, but British authorities required immigration and security checks to be done at Lille Europe station, taking at least 30 minutes. In August 2010, Trenitalia announced its desire to eventually run high-speed trains from Italy to the United Kingdom, using its newly ordered high-speed trains. The trains will be delivered from 2013. Ridership Cumulative ridership since 1994 has reached 190 million, 11 million passengers had used its international services during 2018, the highest ever, a 7% increase on the 10·3 million carried in 2017. References Bibliography External links Channel Tunnel High-speed rail in Belgium High-speed rail in France High-speed rail in the United Kingdom Named passenger trains of British Rail Railteam Railway services introduced in 1994 SNCF Transport in Ashford, Kent
10148
https://en.wikipedia.org/wiki/Ernst%20Kaltenbrunner
Ernst Kaltenbrunner
Ernst Kaltenbrunner (4 October 190316 October 1946) was a high-ranking Austrian SS official during the Nazi era and a major perpetrator of the Holocaust. After the assassination of Reinhard Heydrich in 1942, and a brief period under Heinrich Himmler, Kaltenbrunner was the third Chief of the Reich Security Main Office (RSHA), which included the offices of Gestapo, Kripo and SD, from January 1943 until the end of World War II in Europe. Kaltenbrunner joined the Nazi Party in 1930 and the SS in 1931, and by 1935 he was considered a leader of the Austrian SS. In 1938, he assisted in the Anschluss and was given command of the SS and police force in Austria. In January 1943, Kaltenbrunner was appointed chief of the RSHA, succeeding Reinhard Heydrich, who was assassinated in May 1942. A committed anti-Semite and fanatical Hitler loyalist, Kaltenbrunner oversaw a period in which the genocide of Jews intensified. He was the highest-ranking member of the SS to face trial (Himmler having committed suicide in May 1945) at the first Nuremberg trials, where he was found guilty of war crimes and crimes against humanity. Kaltenbrunner was sentenced to death and executed by hanging in October 1946. Biography Kaltenbrunner was born in Ried im Innkreis, Austria, the son of a lawyer, spent his early years and primary education in Raab and later attended the Realgymnasium in Linz. Raised in a nationalist family, he was childhood friends with Adolf Eichmann, the infamous SS officer who played a key role in implementing the Nazis' "Final Solution" against Europe's Jews. After Gymnasium, Kaltenbrunner went on to obtain his PhD in law at Graz University in 1926. He worked at a law firm in Salzburg for a year before opening his own law office in Linz. He had deep scars on his face from dueling in his student days, although some sources attribute them to a car accident. On 14 January 1934, Kaltenbrunner married Elisabeth Eder (b. 1908) who was from Linz and a Nazi Party member. They had three children. In addition to the children from his marriage, Kaltenbrunner had twins, Ursula and Wolfgang, (b. 1945) with his long-time mistress Gisela Gräfin von Westarp (née Wolf). All the children survived the war. SS career On 18 October 1930, Kaltenbrunner joined the Nazi Party as member number 300,179. In 1931, he was the Bezirksredner (district speaker) for the Nazi Party in Upper Austria. Kaltenbrunner joined the SS on 31 August 1931; his SS number was 13,039. He first became a Rechtsberater (legal consultant) for the party in 1929 and later held this same position for SS Abschnitt (Section) VIII beginning in 1932. That same year, he began working at his father's law practice and by 1933 was head of the National-Socialist Lawyers' League in Linz. In January 1934, Kaltenbrunner was briefly jailed at the Kaisersteinbruch detention camp with other Nazis for conspiracy by the Engelbert Dollfuss government. While there he led a hunger strike which forced the government to release 490 of the party members. In 1935, he was jailed again on suspicion of high treason. This charge was dropped, but he was sentenced to six months imprisonment for conspiracy and he lost his license to practice law. From mid-1935 Kaltenbrunner was head of the illegal SS Abschnitt VIII in Linz and was considered a leader of the Austrian SS. To provide Heinrich Himmler, Reinhard Heydrich and Heinz Jost with new information, Kaltenbrunner repeatedly made trips to Bavaria. Hiding on a train and on a ship that traveled to Passau, he would return with money and orders for Austrian comrades. Kaltenbrunner was arrested again in 1937, by Austrian authorities on charges of being head of the illegal Nazi Party organization in Oberösterreich. He was released in September. Acting on orders from Hermann Göring, Kaltenbrunner assisted in the Anschluss with Germany in March 1938, and was awarded the role as the state secretary for public security in the Seyss-Inquart cabinet. Controlled from behind the scenes by Himmler, Kaltenbrunner still led, albeit clandestinely, the Austrian SS as part of his duty to 'coordinate' and manage the Austrian population which entailed the Nazification of all aspects of Austrian society. Then on 21 March 1938, he was promoted to SS-Brigadeführer. He was a member of the Reichstag from 10 April 1938 until 8 May 1945. Amid this activity, he helped establish the Mauthausen-Gusen concentration camp near Linz. Mauthausen was the first Nazi concentration camp opened in Austria following the Anschluss. On 11 September 1938, Kaltenbrunner was promoted to the rank of SS-Gruppenführer, equivalent to a lieutenant general in the army while holding the position of Führer of SS-Oberabschnitt Österreich (re-designated SS-Oberabschnitt Donau in November 1938). Also in 1938, he was appointed High SS and police leader (Höherer SS- und Polizeiführer; HSSPF) for Donau, which was the primary SS command in Austria (he held that post until 30 January 1943). World War II In June 1940, Kaltenbrunner was appointed Police President of Vienna and held that additional post for a year. In July 1940, he was commissioned as a SS-Untersturmführer into the Waffen-SS Reserve. Throughout his many duties, Kaltenbrunner also developed an impressive intelligence network across Austria moving southeastwards, which eventually brought him to Himmler's attention for the appointment as chief of the Reich Security Main Office (RSHA) in January 1943. The RSHA was composed of the SiPo (Sicherheitspolizei; the combined forces of the Gestapo and Kripo) along with the SD (Sicherheitsdienst, Security Service). He replaced Heydrich, who was assassinated in June 1942. Kaltenbrunner held this position until the end of the war. Hardly anyone knew Kaltenbrunner and upon his appointment, Himmler transferred responsibility for both SS personnel and economics from the RSHA to the SS Main Economic and Administrative Office. Nonetheless, he was promoted to SS-Obergruppenführer und General der Polizei on 21 June 1943. He also replaced Heydrich as President of the International Criminal Police Commission (ICPC), the organization today known as Interpol. Fear of a collapsing home-front due to the Allied bombing campaigns and that another "stab-in-the-back" at home could arise as a result, caused Kaltenbrunner to immediately tighten the Nazi grip within Germany. From what historian Anthony Read relates, Kaltenbrunner's appointment as RSHA chief came as a surprise given the other possible candidates like head of the Gestapo, Heinrich Müller, or even SD foreign intelligence chief, Walter Schellenberg. Historian Richard Grunberger also added the name of Wilhelm Stuckart, the future minister of the German Interior as another potential candidate for head of the RSHA; however, he suggests that Kaltenbrunner was most likely selected since he was a comparative "newcomer" who would be more "pliable" in Himmler's hands. Like many of the ideological fanatics in the regime, Kaltenbrunner was a committed anti-Semite. According to former SS-Sturmbannführer Hans Georg Mayer, Kaltenbrunner was present at a December 1940 meeting among Hitler, Goebbels, Himmler, and Heydrich where it was decided to gas all Jews incapable of heavy physical work. Under Kaltenbrunner's command, the genocide of Jews picked up pace as "the process of extermination was to be expedited and the concentration of the Jews in the Reich itself and the occupied countries were to be liquidated as soon as possible." Kaltenbrunner stayed constantly informed over the status of concentration camp activities, receiving periodic reports at his office in the RSHA. To combat homosexuality across the greater Reich, Kaltenbrunner pushed the Ministry of Justice in July 1943 for an edict mandating compulsory castration for anyone found guilty of this offense. While this was rejected, he still took steps to get the army to review some 6,000 cases to prosecute homosexuals. During the summer of 1943, Kaltenbrunner conducted his second inspection of the Mauthausen-Gusen concentration camp. While he was there, 15 prisoners were selected to demonstrate for Kaltenbrunner three methods of killing; by a gunshot to the neck, hanging, and gassing. After the killings were performed, Kaltenbrunner inspected the crematorium and later the quarry. In October 1943, he told Herbert Kappler, the head of German police and security services in Rome, that the "eradication of the Jews in Italy" was of "special interest" for "general security." Four days later, Kappler's SS and police units began rounding up and deporting Jews by train to Auschwitz concentration camp. In 1944 when Hitler was in the process of strong-arming Admiral Horthy into submitting Hungary to the Nazis during an arranged meeting in Klessheim Castle in Salzburg, Kaltenbrunner was present for the negotiations and escorted him out once they were over. Accompanying Horthy and Kaltenbrunner on the journey back to Hungary was Adolf Eichmann, who brought with him a special Einsatzkommando unit to begin the process of "rounding up and deporting Hungary's 750,000 Jews." It was said that even Himmler feared him, as Kaltenbrunner was an intimidating figure with his height, facial scars, and volatile temper. Kaltenbrunner was also a longtime friend of Otto Skorzeny and recommended him for many secret missions, allowing Skorzeny to become one of Hitler's favorite agents. Kaltenbrunner was also responsible for heading Operation Long Jump, a plan to assassinate Stalin, Churchill, and Roosevelt in Tehran. Immediately in the wake of the 20 July Plot on Hitler's life in 1944, Kaltenbrunner was summoned to Hitler's wartime headquarters at the Wolfsschanze (Wolf's Lair) in East Prussia to begin the investigation into who was responsible for the assassination attempt. Once it was revealed that an attempted military coup against Hitler had been launched, Himmler and Kaltenbrunner had to tread carefully, as the military was not under the jurisdiction of the Gestapo or the SD. Since the attempt failed, the conspirators were soon identified. An estimated 5,000 people were eventually executed, with many more sent to concentration camps. Historian Heinz Höhne counted Kaltenbrunner among fanatical Hitler loyalists and described him as being committed "to the bitter end." Field reports from the SD in October 1944 about deteriorating morale in the military prompted Kaltenbrunner to urge the involvement of the RSHA in military court-martial proceedings, but this was rejected by Himmler who thought it unwise to interfere in Wehrmacht (military) affairs. In December 1944, Kaltenbrunner was granted the additional rank of General of the Waffen-SS. On 15 November 1944 he was awarded the Knights Cross of the War Merit Cross with Swords. In addition, he was awarded the NSDAP Golden Party Badge and the Blutorden (Blood Order). Using his authority as Chief of the RSHA, Kaltenbrunner issued a decree on 6 February 1945 that allowed policemen to shoot "disloyal" people at their discretion, without judicial review. On 12 March 1945, a meeting took place in Vorarlberg between Kaltenbrunner and Carl Jacob Burckhardt, president of the International Committee of the Red Cross (1945–48). Just over a month later, Himmler was informed that SS-Obergruppenführer (general) Karl Wolff had been negotiating with the Allies for the capitulation of Italy. When questioned by Himmler, Wolff explained that he was operating under Hitler's orders and attempting to play the Allies against one another. Himmler believed him, but Kaltenbrunner did not and told Himmler that an informant claimed Wolff also negotiated with Cardinal Schuster of Milan and was about to surrender occupied Italy to the Allies. Himmler angrily repeated the allegations and Wolff, feigning offence, challenged Himmler to present these statements to Hitler. Unnerved by Wolff's demands, Himmler backed down, and Hitler sent Wolff back to Italy to continue his purported disruption of the Allies. In mid-April 1945, three weeks before the war ended, Himmler named Kaltenbrunner commander-in-chief of the remaining German forces in southern Europe. Kaltenbrunner attempted to organize cells for post-war sabotage in the region and Germany but accomplished little. Hitler made one of his last appearances on 20 April 1945 outside the subterranean Führerbunker in Berlin, where he pinned medals on boys from the Hitler Youth for their bravery. Kaltenbrunner was among those present, but realizing the end was near, he then fled from Berlin. Arrest On 12 May 1945 Kaltenbrunner was apprehended along with his adjutant, Arthur Scheidler, and two SS guards in a remote cabin at the top of the Totes Gebirge mountains near Altaussee, Austria, by a search party initiated by the 80th Infantry Division, Third U.S. Army. Information had been gained from Johann Brandauer, the assistant burgermeister of Altaussee, that the party was hiding out with false papers in the cabin. This was supported by an eyewitness sighting by the Altaussee mountain ranger five days earlier. Special Agent Robert E. Matteson from the C.I.C. Detachment organized and led a patrol consisting of Brandauer, four ex-Wehrmacht soldiers, and a squad of US soldiers to effect the arrest. The party climbed over mountainous and glacial terrain for six hours in darkness before arriving at the cabin. After a short standoff, all four men exited the cabin and surrendered without a shot fired. Kaltenbrunner claimed to be a doctor and offered a false name. However, upon their arrival back to town his mistress, Countess Gisela von Westarp, and the wife (Iris) of his adjutant Arthur Scheidler chanced to spot the men being led away, the ladies called out to both men and embraced them. This action resulted in their identification and arrest by US troops. In 2001, Ernst Kaltenbrunner's personal Nazi security seal was found in an Alpine lake in Styria, Austria, 56 years after he had thrown it away to hide his identity. The seal was recovered by a Dutch citizen on holiday. The seal has the words "Chef der Sicherheitspolizei und des SD" (Chief of the Security Police and SD) engraved on it. Experts have examined the seal and believe it was discarded in the final days of the war in May 1945. Nuremberg trials At the Nuremberg trials, Kaltenbrunner was charged with conspiracy to commit crimes against peace, war crimes and crimes against humanity. Due to the areas over which he exercised responsibility as an SS general and as chief of the RSHA, he was acquitted of crimes against peace, but held responsible for war crimes and crimes against humanity. During the initial stages of the Nuremberg trials, Kaltenbrunner was absent because of two episodes of subarachnoid hemorrhage, which required several weeks of recovery time. After his health improved, the tribunal denied his request for pardon. When he was released from a military hospital he pleaded not guilty to the charges of the indictment against him. Kaltenbrunner said all decrees and legal documents that bore his signature were "rubber-stamped" and filed by his adjutant(s). He also said Gestapo Chief Heinrich Müller had illegally affixed his signature to numerous documents in question. Kaltenbrunner argued in his defence that his position as RSHA chief existed only theoretically and said he was only active in matters of espionage and intelligence. He maintained that Himmler, as his superior, was the person culpable for the atrocities committed during his tenure as chief of the RSHA. Kaltenbrunner also asserted that he had no knowledge of the Final Solution before 1943 and went on to claim that he protested against the ill-treatment of the Jews to Himmler and Hitler. Further denials from Kaltenbrunner included statements that he knew nothing of the Commissar Order and that he never visited Mauthausen concentration camp, despite documentation of his visit. At one point, Kaltenbrunner went so far as to avow that he was responsible for bringing the Final Solution to an end. Conviction and execution On 30 September 1946, the International Military Tribunal (IMT) found Kaltenbrunner not guilty of crimes against peace, but guilty of war crimes and crimes against humanity (counts three and four). On 1 October 1946, the IMT sentenced him to death by hanging. Kaltenbrunner was executed on 16 October 1946, around 1:15 a.m., in Nuremberg. His body, like those of the other nine executed men and that of Hermann Göring (who committed suicide the previous day), was cremated at the Eastern Cemetery in Munich and the ashes were scattered in a tributary of the River Isar. Dates of rank SS-Mann – 31 August 1931 SS-Truppführer – 1931 SS-Sturmhauptführer – 25 September 1932 SS-Standartenführer – 20 April 1936 SS-Oberführer – 20 April 1937 SS-Brigadeführer – 21 March 1938 SS-Gruppenführer – 11 September 1938 SS-Untersturmführer der Reserve der Waffen-SS – 1 July 1940 Generalleutnant der Polizei – 1 April 1941 SS-Obergruppenführer und General der Polizei – 21 June 1943 General der Waffen-SS und Polizei – 1 December 1944 Awards and decorations Honour Chevron for the Old Guard (1934) SS Honour Ring (1938) Sword of honour of the Reichsführer-SS (1938) Anschluss Medal (1938) Sudetenland Medal (1938) with Prague Castle Bar (1939) Golden Party Badge (1939) SS Long Service Award For 4, 8, and 12 Years Service Nazi Party Long Service Award in Bronze and Silver Blood Order (31 May 1942) German Cross in Silver (1943) Knights Cross of the War Merit Cross with Swords (1944) See also Allgemeine SS Glossary of Nazi Germany Holocaust (miniseries) – TV production in which Kaltenbrunner is portrayed Inside the Third Reich (film) – television film in which Kaltenbrunner is portrayed List SS-Obergruppenführer References Notes Citations Bibliography External links Kaltenbrunner defense broadcast during Nuremberg Trial, reported by Matthew Halton and broadcast on April 12, 1946; via the archives of the Canadian Broadcasting Corporation; 2m:36s Testimony of Rudolf Hoess in the Nuremberg Trial Nuremberg film at IMDB Seventeen Moments of Spring film at IMDB Holocaust miniseries at IMDB 1903 births 1946 deaths People from Ried im Innkreis District Austrian anti-communists Austrian Nazis Austrian Nazi lawyers Austrian mass murderers Austrian people convicted of crimes against humanity Executed Austrian people Austrian police officers convicted of murder Austrian Roman Catholics Einsatzgruppen personnel Executed Austrian Nazis Executed military leaders Gestapo personnel Holocaust perpetrators Holocaust perpetrators in Austria Holocaust perpetrators in Italy Heinrich Himmler Interpol officials Members of the Reichstag of Nazi Germany People executed by the International Military Tribunal in Nuremberg Police officers executed for murder Police officers convicted of crimes against humanity Recipients of the Knights Cross of the War Merit Cross Reich Security Main Office personnel SS and Police Leaders SS-Obergruppenführer Holocaust perpetrators in Ukraine 20th-century Austrian lawyers People executed for crimes against humanity 20th-century Freikorps personnel University of Graz alumni 20th-century Roman Catholics
10150
https://en.wikipedia.org/wiki/Engelbert%20Dollfuss
Engelbert Dollfuss
Engelbert Dollfuss (, ; 4 October 1892 – 25 July 1934) was an Austrian politician who served as Chancellor of Austria between 1932 and 1934. Having served as Minister for Forests and Agriculture, he ascended to Federal Chancellor in 1932 in the midst of a crisis for the conservative government. In early 1933, he dissolved parliament and assumed dictatorial powers. Suppressing the Socialist movement in February 1934 during the Austrian Civil War and later banning the Austrian Nazi Party, he cemented the rule of "Austrofascism" through the authoritarian First of May Constitution. Dollfuss was assassinated as part of a failed coup attempt by Nazi agents in 1934. His successor Kurt Schuschnigg maintained the regime until Adolf Hitler's annexation of Austria in 1938. Early life Dollfuss was born to a poor, peasant family in the hamlet of Great Maierhof in the commune of St. Gotthard near Texingtal in Lower Austria. Young Dollfuss spent his childhood in his step-father's house in the nearby commune of Kirnberg, where he also went to elementary school. The local parish priests helped to finance Dollfuss' education, as his parents were unable to do so by themselves alone. He attended high school in Hollabrunn. After graduating from high school, Dollfuss intended to become a priest, and thus he enrolled at the University of Vienna to study theology, but after a few months changed course and started studying law in 1912. As a student, he earned a livelihood giving lessons. He became a member of the Students' Social Movement, a student organisation dedicated to social and charitable work among the workers. As World War I broke out, Dollfuss reported to be recruited in Vienna but was rejected because he was two centimetres shorter than the minimum. Fully grown, he was less than in height, and later was nicknamed "Millimetternich", a portmanteau of millimetre and Klemens von Metternich. The same day he was rejected in Vienna, Dolfuss went to St. Pölten where the recruiting commission for his district was located and insisted to be recruited, even though he did not meet the minimum height standards, and was accepted. As a volunteer, he had a right to choose a regiment in which he would serve, and Dollfuss opted for the Tyrolese militia also known as the Kaiserschützen. He was soon promoted to the rank of corporal. He served for 37 months at the Italian Front, south of Tyrol. By 1916 he was promoted to lieutenant. After the war, he was still a student and was employed by the Lower Austrian Peasants' Union, which helped him to secure his material existence, and it was here where Dollfuss gained his first political experience. There, he organised peasants to help them recover from the war, as well as shield them from the influences of Marxism. Being recognised for his abilities he showed at the Union, he was sent for further studies to Berlin. In Berlin, he began to garner dislike for some of his professors, as academia there was substantially influenced by liberalism and socialism. In his studies, he devoted himself to the Christian principles of economics. In Germany, he became a member of the Federation of German Peasants' Union and of the Preussenkasse – essentially, a central bank for member-cooperatives, where he gained practical experience. In Germany, he met his future wife Alwine Glienke, a descendant of a Pomeranian family. Dollfuss often met with Carl Sonnenschein, leader of social activities of students and the pioneer of the Catholic movement in Berlin. After returning to Vienna, he was a secretary of the Lower Austrian Peasants' Union. He devoted his efforts to consolidate that industry. Dollfuss was instrumental in the founding of the regional Chamber of Agriculture of Lower Austria, becoming its secretary and a director; the Federation of Agriculture and the Agricultural Labourers’ Insurance Institute; in organising the new Agrarian policy of Lower Austria and in laying the foundations for the corporative organisation of agriculture. A few years later, he was representative of Austria at the International Agrarian Congress, where his proposals made him internationally known in that sphere. He was seen as an unofficial leader of the Austrian peasantry. On 1 October 1930 Dollfuss was appointed the president of the Federal Railways, the largest industrial corporation in Austria. There, Dollfuss came into contact with all branches of the industry. In March 1931, he was appointed Federal Minister of Agriculture and Forestry. Chancellor of Austria On 10 May 1932, Dollfuss, age 39 and with only one year's experience in the Federal Government, was offered the office of Chancellor by President Wilhelm Miklas, also a member of the Christian-Social Party. Dollfuss refused to reply, instead spending the night in his favourite church praying, returning in the morning for a bath and a spartan meal before replying to the President he would accept the offer. Dollfuss was sworn in on 20 May 1932 as head of a coalition government between the Christian-Social Party, the Landbund — a right-wing agrarian party — and Heimatblock, the parliamentary wing of the Heimwehr, a paramilitary ultra-nationalist group. The coalition assumed the pressing task of tackling the problems of the Great Depression. Much of the Austro-Hungarian Empire's industry had been situated in the areas that became part of Czechoslovakia and Yugoslavia after World War I as a result of the Treaty of Saint-Germain. Postwar Austria was therefore economically disadvantaged. Dollfuss' majority in Parliament was marginal; his government had only a one-vote majority. Dollfuss as dictator of Austria In March 1933, an argument arose over irregularities in the voting procedure. The Social Democratic president of the National Council (the lower house of parliament) Karl Renner resigned to be able to cast a vote as a parliament member. As a consequence, the two vice presidents, belonging to other parties, resigned as well to be able to vote. Without a president, the parliament could not conclude the session. Dollfuss took the three resignations as a pretext to declare that the National Council had become unworkable, and advised President Wilhelm Miklas to issue a decree adjourning it indefinitely. When the National Council wanted to reconvene days after the resignation of the three presidents, Dollfuss had police bar entrance to parliament, effectively eliminating democracy in Austria. From that point onwards, he governed as dictator by emergency decree with absolute power. Dollfuss was concerned that with German National Socialist leader Adolf Hitler becoming Chancellor of Germany in 1933, the Austrian National Socialists (DNSAP) could gain a significant minority in future elections (according to fascism scholar Stanley G. Payne, should elections have been held in 1933, the DNSAP could have mustered about 25% of the votes – contemporary Time magazine analysts suggest a higher support of 50%, with a 75% approval rate in the Tyrol region bordering Nazi Germany). In addition, the Soviet Union's influence in Europe had increased throughout the 1920s and early 1930s. Dollfuss banned the communists on 26 May 1933 and the DNSAP on 19 June 1933. Under the banner of Christian Social Party, he later established a one-party dictatorship rule largely modeled after fascism in Italy, banning all other Austrian parties including the Social Democratic Labour Party (SDAPÖ). Social Democrats however continued to exist as an independent organization, nevertheless, without its paramilitary Republikanischer Schutzbund, which until 31 March 1933 could have mustered tens of thousands against Dollfuss' government. Austrofascism Dollfuss modelled Austrofascism according to Catholic corporatist ideals with anti-secularist tones and in a similar way to Italian fascism, dropping Austrian pretenses of unification with Germany as long as the Nazi Party remained in power. In August 1933, Benito Mussolini's regime issued a guarantee of Austrian independence. Dollfuss also exchanged 'Secret Letters' with Mussolini about ways to guarantee Austrian independence. Mussolini was interested in Austria forming a buffer zone against Nazi Germany. Dollfuss always stressed the similarity of the regimes of Hitler in Germany and Joseph Stalin in the Soviet Union, and was convinced that Austrofascism and Italian fascism could counter totalitarian national socialism and communism in Europe. In September 1933 Dollfuss merged his Christian Social Party with elements of other nationalist and conservative groups, including the Heimwehr, which encompassed many workers who were unhappy with the radical leadership of the socialist party, to form the Vaterländische Front, though the Heimwehr continued to exist as an independent organization until 1936, when Dollfuss' successor Kurt von Schuschnigg forcibly merged it into the Front, instead creating the unabidingly loyal Frontmiliz as paramilitary task force. Dollfuss survived an assassination attempt in October 1933 by Rudolf Dertill, a 22-year-old who had been ejected from the military for his national socialist views. Austrian civil war In February 1934 the security forces provoked arrests of Social Democrats and searches for weapons of the Social Democrats' already outlawed Republikanischer Schutzbund. After the Dollfuss dictatorship took steps against known Social Democrats, the Social Democrats called for nationwide resistance against the government. A civil war began, which lasted sixteen days, from 12 until 27 February. Fierce fighting took place primarily in the East of Austria, especially in the streets of some outer Vienna districts, where large fortress-like municipal workers' buildings were situated, and in the northern, industrial areas of the province of Styria, where Nazi agents had great interest in a bloodbath between security forces and workers' militias. The resistance was suppressed by police and military power. The Social Democrats were outlawed, and their leaders were imprisoned or fled abroad. New constitution Dollfuss staged a parliamentary session with just his party members present in April 1934 to have his new constitution approved, effectively the second constitution in the world espousing corporatist ideas after that of the Portuguese Estado Novo. The session retrospectively made all the decrees already passed since March 1933 legal. The new constitution became effective on 1 May 1934 and swept away the last remnants of democracy and the system of the first Austrian Republic. Assassination Dollfuss was assassinated on 25 July 1934 by ten Austrian Nazis (Franz Leeb, Josef Hackel, Ludwig Meitzen, and Erich Wohlrab, who were subsequently convicted and then hanged on 13 August, plus Paul Hudl, Franz Holzweber, Otto Planetta, and three others) of Regiment 89 who entered the Chancellery building and shot him in an attempted coup d'état. In his dying moments he asked for Viaticum, the Eucharist administered to a person who is dying, but his assassins refused to give it to him. Mussolini had no hesitation in attributing the attack to the German dictator: the news reached him at Cesena, where he was examining the plans for a psychiatric hospital. Mussolini, known as "Il Duce", personally gave the announcement to Dollfuss's widow, who was a guest at his villa in Riccione with her children. He also put at the disposal of Ernst Rüdiger Starhemberg, who spent a holiday in Venice, a plane that allowed the prince to rush back to Vienna and to face the assailants with his militia, with the permission of President Wilhelm Miklas. Mussolini also mobilised a part of the Italian army on the Austrian border and threatened Hitler with war in the event of a German invasion of Austria to thwart the putsch. Then he announced to the world: "The independence of Austria, for which he has fallen, is a principle that has been defended and will be defended by Italy even more strenuously", and then replaced in the main square of Bolzano the statue of Walther von der Vogelweide, a Germanic troubadour, with that of Drusus, a Roman general who conquered part of Germany. This was the greatest moment of friction between Italian Fascism and National Socialism and Mussolini himself came down several times to reaffirm the differences in the field. The assassination of Dollfuss was accompanied by uprisings in many regions in Austria, resulting in further deaths. In Carinthia, a large contingent of northern German Nazis tried to seize power but were subdued by the Italian units nearby. At first Hitler was jubilant, but the Italian reaction surprised him. Hitler became convinced that he could not face a conflict with the Western European powers, and he officially denied liability, stating his regret for the murder of the Austrian Prime Minister. He replaced the ambassador to Vienna with Franz von Papen and prevented the conspirators entering Germany, also expelling them from the Austrian Nazi Party. The Nazi assassins in Vienna, after declaring the formation of a new government under Austrian Nazi Anton Rintelen, previously exiled by Dollfuss as Austrian Ambassador to Rome, surrendered after threats from the Austrian military of blowing up the Chancellery using dynamite, and were subsequently tried and executed by hanging. Kurt Schuschnigg, previously Minister of Education, was appointed new chancellor of Austria after a few days, assuming the office from Dollfuss’ deputy Starhemberg. Out of a population of 6.5 million, approximately 500,000 Austrians were present at Dollfuss’ burial in Vienna. He is interred in the Hietzing cemetery in Vienna beside his wife Alwine Dollfuss (who died in 1973) and two of his children, Hannerl (died 1928) and Eva who were in Italy as guests of Rachele Mussolini at the time of his death, an event which saw Mussolini himself shed tears over his slain ally. In literature In Bertolt Brecht's 1941 play The Resistible Rise of Arturo Ui, Dollfuss is represented by the character "Dullfeet". Works Das Kammersystem in der Landwirtschaft Österreichs. Agrarverlag, Wien 1929. Mertha, Rudolf, Dollfuß, Engelbert: Die Sozialversicherung in der Landwirtschaft Österreichs nach dem Stande von Ende März 1929. Agrarverlag, Wien 1929. Der Führer Bundeskanzler Dr. Dollfuß zum Feste des Wiederaufbaues. 3 Reden. 1. Mai 1934. Österr. Bundespressedienst, Wien 1934. Tautscher, Anton (Hrsg.): So sprach der Kanzler. Dollfuss’ Vermächtnis. Aus seinen Reden. Baumgartner, Wien 1935. Weber, Edmund (Hrsg.): Dollfuß an Oesterreich. Eines Mannes Wort und Ziel. Reinhold, Wien 1935. Maderthaner, Wolfgang (Hrsg.): „Der Führer bin ich selbst.“ Engelbert Dollfuß – Benito Mussolini. Briefwechsel. Löcker, Wien 2004, . Footnotes References Books 1892 births 1934 deaths 20th-century Chancellors of Austria Austrian Ministers of Defence People from Melk District Austrian anti-communists Chancellors of Austria Foreign ministers of Austria Austrofascists Austrian Civil War Christian fascists Austro-Hungarian military personnel of World War I World War I prisoners of war held by Italy Assassinated Austrian politicians Deaths by firearm in Austria Austrian Roman Catholics Fascist rulers Christian Social Party (Austria) politicians Austro-Hungarian Army officers People murdered in Austria Assassinated heads of government Male murder victims 1930s murders in Austria 1934 crimes in Austria 1934 murders in Europe Fatherland Front politicians Austro-Hungarian prisoners of war in World War I
10153
https://en.wikipedia.org/wiki/Encyclopedia%20Brown
Encyclopedia Brown
Encyclopedia Brown is a series of books featuring the adventures of boy detective Leroy Brown, nicknamed "Encyclopedia" for his intelligence and range of knowledge. The series of 29 children's novels was written (one co-written) by Donald J. Sobol, with the first book published in 1963 and the last published posthumously in 2012. In addition to the main books, the Encyclopedia Brown series has spawned a comic strip, a TV series, and compilation books of puzzles and games. Sobol's first Encyclopedia Brown book was written in two weeks; subsequent books took about six months to write. Its main publisher was Bantam Skylark. Style Each book in the Encyclopedia Brown mystery series is self-contained in that the reader is not required to have read earlier books in order to understand the stories. The major characters, settings, etc. are usually introduced (or reintroduced) in each book. Books featuring Brown are subdivided into a number—usually ten or more—of (possibly interlinked) short stories, each of which presents a mystery. The mysteries are intended to be solved by the reader, thanks to the placement of a logical or factual inconsistency somewhere within the text. This is very similar to the layout of Donald Sobol's other book series, Two-Minute Mysteries. Many of the mysteries involve Brown helping his father, the local police chief, solve a crime; Brown outwitting town bully Bugs Meany, the leader of a gang known as the Tigers; or Brown being aided by Sally Kimball, his partner, close friend, and bodyguard. Brown, his father, or Sally invariably solves the case by exposing this inconsistency, detailed in the "Answers" section in the back of the book. Formula Often, these books follow a formula where the first chapter involves Brown solving a case at the dinner table for his father, the local police chief in the fictional seaside town of Idaville in an unspecified state. When Chief Brown barely tastes his meal, that is a cue he was handed a difficult case. He pulls out his casebook and goes over it with the family. Encyclopedia solves these cases by briefly closing his eyes while he thinks deeply, then asking a single question which directly leads to him finding the solution. The second mystery often begins in the Brown garage on Rover Avenue, where Encyclopedia has set up his own detective agency to help neighborhood children solve cases for "25 cents per day, plus expenses - No case too small." This second case usually involves the town bully and mischief maker Bugs Meany, leader of a gang who call themselves the Tigers, who, after being foiled, will attempt revenge in the third mystery. In the third mystery, the plot involves Encyclopedia's partner, close friend, and bodyguard, Sally Kimball, the one person under 14 years of age to physically stand up to Bugs. She is the only reason neither Bugs nor any of his Tigers ever try to physically attack Encyclopedia. Encyclopedia tends to dislike anyone whom Sally has a crush on, possibly indicating that he has a crush on her. Also intelligent, Sally once attempted—in the first book of the series—to prove herself smarter than Encyclopedia by stumping him with a mystery of her own creation. Ironically, the contest was held at the Tigers' clubhouse, with Bugs and the others cheering him on. However, she was beaten in the contest (although Encyclopedia admitted that she almost tricked him), after which she became his friend. In subsequent storylines Bugs or his gang usually set up some sort of trap to get Encyclopedia or Sally in trouble. However, as in the previous story, they make a key mistake which Encyclopedia exposes. Later cases may find Encyclopedia assisting his father at a crime scene (rarely more serious than larceny, and Encyclopedia is always discreet when helping his father) or interacting with people around town, often exposing scams. One such example is a high school dropout and would-be con artist named Wilford Wiggins who spends time trying to dream up schemes to fleece kids out of their money. Like Bugs, his schemes have an inconsistency which Encyclopedia exposes. In some cases it is Sally and not Encyclopedia who figures it out because, as she tells Encyclopedia, "You are a boy." In other words, she notices things that only a girl would find inconsistent. Sally further displays her intelligence in the various mysteries in that she often can deduce who committed the crime, or whether a certain person is lying, but she simply cannot always prove it. Legacy The Encyclopedia Brown books experienced some enduring popularity. In 1976, the Mystery Writers of America honored Sobol and his Encyclopedia Brown series with a special Edgar Award. Educators have used Encyclopedia Brown in classrooms to instruct students in skills such as writing reports. In 1986, the Society for Visual Education, Inc. published a filmstrip series, produced and written by Lynne V. Gibbs, with accompanying audio cassette tapes and workbooks for elementary and middle schools' use. The following four Encyclopedia Brown stories were utilized: The Case of the Missing Statue, The Case of the Happy Nephew, The Case of the Kidnapped Pigs, and The Case of the Marble Shooter. According to WorldCat's library catalog listing, "As super-sleuth Encyclopedia Brown solves four mysteries, he shows students how he fills out his reports, including selecting a topic, gathering information, taking notes, making an outline, and revising and editing." Adaptations Comic strip From December 3, 1978, to September 20, 1980, Encyclopedia Brown was a daily and Sunday comic strip syndicated by Universal Press Syndicate. The artwork was done by Frank Bolle, and Donald J. Sobol was credited as the writer. When the strips were collected into books in the mid-1980s, the strip was credited to Elliot Caplin, based on Sobol's characters. The strips adapted Sobol stories, both ones that had originally been Encyclopedia Brown tales and ones that had been part of Sobol's syndicated Two-Minute Mysteries features. TV series A live action television series adaptation, also called Encyclopedia Brown, ran on HBO starting in 1989. Scott Bremner played the title role, with Laura Bridge playing Sally. The series ran over 8 episodes. It was produced by Howard David Deutsch and directed by Savage Steve Holland. Parts of the series were filmed in Provo, Utah. The series began with an hour-long special, "The Case of the Missing Time Capsule", and subsequent six episodes were 30 minutes long. 1. "The Case of the Missing Time Capsule" (hour long special first aired on March 2, 1989, to kick off series and aired over 200 times on HBO) "Idaville is celebrating its 100th birthday by opening a time capsule left by the town founder. But before anyone can discover what riches it contains, the capsule is stolen! When E.B. and his friend Sally investigate, they find no shortage of suspects. 2. "The Case of the Missing U.F.O." (Case #529) aired first on 3/9/90 . Something eerie is going on in Idaville when a flying saucer and flashing lights appear in the night sky. Encyclopedia Brown and his side-kick Sally interrupt their relaxing camping getaway to brave the unknown and uncover the mystery of the U.F.O. 3. "The Case of the Amazing Race Car" (case #524) first aired 3/16/1990 Davey looks like a sure winner in a funny car derby, that is, until someone steals his car. Encyclopedia Brown steps in to solve the mystery. 4. "The Case of the Ghostly Rider" (case #525) aired 3/23/1990 The ghost of the WildCat Kid has returned to haunt Old Glennville, can EB and Sally with a little help from Bugs Meany save the day? 5. "The Case of the Flaming Beauty Queen" (case #932) first aired 6/5/1990. Encyclopedia Brown investigates who set the fires in the library and whether the case of the hidden money is a scam or not. 6. "The Case of the Incredible Culpepper" first aired 7/10/1990. This episode does not seem to have been released to VHS. The big Idaville magic show is spoiled when a mountain lion belonging to The Incredible Culpepper is stolen. E.B. and Sally are immediately on the case and identify several suspects. With their typical detective skills they soon solve the crime and return the lion to Culpepper. The magic show finally entertains all the good folks of the town- Thanks to Encyclopedia Brown.) 7. "The Case of the Burglared Baseball Cards" (case #523) first aired 9/1/1990 Encyclopedia looks into the late night theft of a priceless collection of baseball cards. 8. "Encyclopedia Brown, The Boy Detective in One Minute Mysteries" released straight to video (This includes 5 of the Encyclopedia Brown stories from the books, "The Case of the Scattered Cards", "The Case of the Foot Warmer", "The Case of the Bitter Drink", “The Case of the Civil War Sword", and "The Case of the Great Merko". This was also released to VHS.) Many of these episodes were later released on VHS. Film In June 2013, Warner Bros. optioned the Encyclopedia Brown books into a feature film. Matt Johnson was in talks to write the movie. Roy Lee and Howard David Deutsch (producer of the 1989 Encyclopedia Brown TV series) and Jonathan Zakin were announced as producing. Books The Encyclopedia Brown books, in order of publication (parentheses indicate numbers on original release cover art): Encyclopedia Brown, Boy Detective (1963, illustrated by Leonard Shortall , 1982 reissue ) Encyclopedia Brown and the Case of the Secret Pitch (1965, illustrated by Leonard Shortall , reissued in 1976 as Encyclopedia Brown Strikes Again, ) Encyclopedia Brown Finds the Clues (1966, illustrated by Leonard Shortall ) Encyclopedia Brown Gets His Man (1967, illustrated by Leonard Shortall ) Encyclopedia Brown Solves Them All (1968, illustrated by Leonard Shortall ) Encyclopedia Brown Keeps the Peace (1969, illustrated by Leonard Shortall ) Encyclopedia Brown Saves the Day (1970, illustrated by Leonard Shortall ) Encyclopedia Brown Tracks Them Down (1971, illustrated by Leonard Shortall ) Encyclopedia Brown Shows the Way (1972, illustrated by Leonard Shortall ) Encyclopedia Brown Takes the Case (1973, illustrated by Leonard Shortall ) Encyclopedia Brown Lends a Hand (1974, illustrated by Leonard Shortall , reissued as Encyclopedia Brown and the Case of the Exploding Plumbing and Other Mysteries, ) Encyclopedia Brown and the Case of the Dead Eagles (1975, illustrated by Leonard Shortall ) Encyclopedia Brown and the Case of the Midnight Visitor (1977, ) Encyclopedia Brown Carries On (1980, ) Encyclopedia Brown Sets the Pace (1981, ) (15) Encyclopedia Brown Takes the Cake (1982, ) (Co-written with Glenn Andrews) (16) Encyclopedia Brown and the Case of the Mysterious Handprints (1985, ) (17) Encyclopedia Brown and the Case of the Treasure Hunt (1988, ) (18) Encyclopedia Brown and the Case of the Disgusting Sneakers (1990, ) (19) Encyclopedia Brown and the Case of the Two Spies (1995, ) (20) Encyclopedia Brown and the Case of Pablo's Nose (1996, ) (21) Encyclopedia Brown and the Case of the Sleeping Dog (1998, ) (22) Encyclopedia Brown and the Case of the Slippery Salamander (2000, ) (23) Encyclopedia Brown and the Case of the Jumping Frogs (2003, ) (24) Encyclopedia Brown Cracks the Case (2007, ) (25) Encyclopedia Brown, Super Sleuth (2009, ) (26) Encyclopedia Brown and the Case of the Secret UFOs (2010, ) (27) Encyclopedia Brown and the Case of the Carnival Crime (2011, ) (28) Encyclopedia Brown and the Case of the Soccer Scheme (2012, ) Related works Encyclopedia Brown's Record Book of Weird and Wonderful Facts (1979, ) Encyclopedia Brown's First Book of Puzzles and Games (1980, ) (Note: Jim Razzi is listed as the author, with an acknowledgement of being based upon the Encyclopedia Brown series created by Donald J. Sobol.) Encyclopedia Brown's Second Book of Puzzles and Games (1980, ) (Note: Jim Razzi is listed as the author, with an acknowledgement of being based upon the Encyclopedia Brown series created by Donald J. Sobol.) Encyclopedia Brown's Third Book of Puzzles and Games (1981, ) (Note: Jim Razzi is listed as the author, with an acknowledgement of being based upon the Encyclopedia Brown series created by Donald J. Sobol.) Encyclopedia Brown's Fourth Book of Puzzles and Games (1981, ) (Note: Jim Razzi is listed as the author, with an acknowledgement of being based upon the Encyclopedia Brown series created by Donald J. Sobol.) Encyclopedia Brown's Second Record Book of Weird and Wonderful Facts (1981, ) Encyclopedia Brown's Book of Wacky Crimes (1983 ) Encyclopedia Brown's Book of Wacky Spies (1984 ) Encyclopedia Brown's Book of Wacky Sports (1984 ) Encyclopedia Brown's Book of Wacky Animals (1985, ) Encyclopedia Brown's Third Record Book of Weird and Wonderful Facts (1985, ) Encyclopedia Brown's Book of Comic Strips #1 (1985, ) (Note: This is a compilation of the "Encyclopedia Brown" newspaper comic strips. Elliot Caplin is listed as the author. Most of the comics are based on the Donald J. Sobol stories, but there are some original stories too.) Encyclopedia Brown's Book of Comic Strips #2 (1985, ) (Note: This is a compilation of the "Encyclopedia Brown" newspaper comic strips. Elliot Caplin is listed as the author. Most of the comics are based on the Donald J. Sobol stories, but there are some original stories too.) Encyclopedia Brown's Book of Wacky Cars (1987, ) Encyclopedia Brown's Book of Wacky Outdoors (1988 ) Encyclopedia Brown's Book of Strange But True Crimes (1992, ) Encyclopedia Brown and his Best Cases Ever (2013, ) (Note: This book is a commemorative book released in celebration of Encyclopedia Brown's 50th. anniversary. The book contains a letter from Donald J. Sobol detailing the history of the book series and its creation, as well as 15 cases selected from the previously published books.) The Book of Puzzles and Games books (four books in all) were sometimes included in Encyclopedia Brown box sets with the original Encyclopedia Brown mystery books by Sobol. Encyclopedia Brown books have also been released in ebook format, as well as on compact disc and audio cassette tape. Solve-It-Yourself Mystery Sweepstakes From January 15 to June 30, 1989, a special Solve-It-Yourself Mystery Sweepstakes was held in conjunction with the Encyclopedia Brown books and Bantam Books. In the back of specially marked copies of Encyclopedia Brown and the Case of the Treasure Hunt, Sobol presented an unsolved mystery for the contestant to solve and submit an answer for a chance to win a prize. The mystery for the contest was called "The Case of the Missing Birthday Gift", wherein Encyclopedia had to solve the case of a stolen bicycle that was given as a birthday gift to Willie Grant on his tenth birthday. The Tigers make an appearance as the suspects in the case; Bugs Meany, Jack Beck, and Rocky Graham all show up at the Tigers' clubhouse. Contestants were allowed to enter as many times as they wished, provided they used a separate envelope for each entry. The sweepstakes was only available to USA and Canada residents. No purchase was necessary, as one could either use the official form in the back of specially marked copies of Encyclopedia Brown and the Case of the Treasure Hunt or send in a 3" by 5" index card with the solution and the contestant's contact information. Parodies and tributes The satirical newspaper The Onion ran an article in 2003 titled "Idaville Detective 'Encyclopedia' Brown Found Dead In Library Dumpster", which stated that Encyclopedia Brown, now a middle-aged police detective, had been murdered. The article parodied the books' tendency to have crimes solved through knowledge of trivia, and ended with Bugs Meany, who was now police commissioner, stating that he had an alibi for the murder in that "I was at the North Pole watching the penguins." Ed Brubaker and Sean Phillips' Criminal: Last of the Innocent graphic novel features a reference to Encyclopedia Brown, with a grown-up analogue of Encyclopedia featured in the comic, as confirmed by Ed Brubaker himself. The comic strip FoxTrot ran a 2000 storyline where Jason and Marcus try their hand at being private investigators, out to solve a theft perpetrated on their girlfriends. One agency name they tried was "Encyclopedias Brown And White" (due to Marcus being African-American), which became the title of FoxTrot'''s next book of comics. The protagonist of the 2020 film The Kid Detective is a former child prodigy detective, now an unsuccessful adult, living in a small town. In The Simpsons'' episode "500 Keys", the grave of Encyclopedia Brown is shown briefly next to those of Nancy Drew and the Hardy Boys, to which Lisa comments "Jeez, they're dropping like flies". References External links Encyclopedia Brown at KidsReads.com Encyclopedia Brown at Thrilling Detective 1989 American television series debuts 1989 American television series endings Book series introduced in 1963 Brown, Encyclopedia Edgar Award-winning works Brown, Encyclopedia HBO original programming Series of children's books 1980s American children's television series English-language television shows Brown, Encyclopedia American children's books Children's mystery novels Television shows filmed in Utah American television shows based on children's books
10160
https://en.wikipedia.org/wiki/Final%20Solution
Final Solution
The Final Solution (, ) or the Final Solution to the Jewish Question (, ) was a Nazi plan for the genocide of Jews during World War II. The "Final Solution to the Jewish question" was the official code name for the murder of all Jews within reach, which was not restricted to the European continent. This policy of deliberate and systematic genocide starting across German-occupied Europe was formulated in procedural and geopolitical terms by Nazi leadership in January 1942 at the Wannsee Conference held near Berlin, and culminated in the Holocaust, which saw the murder of 90% of Polish Jews, and two-thirds of the Jewish population of Europe. The nature and timing of the decisions that led to the Final Solution is an intensely researched and debated aspect of the Holocaust. The program evolved during the first 25 months of war leading to the attempt at "murdering every last Jew in the German grasp". Christopher Browning, a historian specializing in the Holocaust, wrote that most historians agree that the Final Solution cannot be attributed to a single decision made at one particular point in time. "It is generally accepted the decision-making process was prolonged and incremental." In 1940, following the Fall of France, Adolf Eichmann devised the Madagascar Plan to move Europe's Jewish population to the French colony, but the plan was abandoned for logistical reasons, mainly a naval blockade. There were also preliminary plans to deport Jews to Palestine and Siberia. In 1941, wrote Raul Hilberg, in the first phase of the mass-murder of Jews, the mobile killing units began to pursue their victims across occupied eastern territories; in the second phase, stretching across all of German-occupied Europe, the Jewish victims were sent on death trains to centralized extermination camps built for the purpose of systematic murder of Jews. Background The term "Final Solution" was a euphemism used by the Nazis to refer to their plan for the annihilation of the Jewish people. Some historians argue that the usual tendency of the German leadership was to be extremely guarded when discussing the Final Solution. For example, Mark Roseman wrote that euphemisms were "their normal mode of communicating about murder". However, Jeffrey Herf has argued that the role of euphemisms in Nazi propaganda has been exaggerated, and in fact Nazi leaders often made direct threats against Jews. For example, during his speech of 30 January 1939, Hitler threatened "the annihilation of the Jewish race in Europe". From gaining power in January 1933 until the outbreak of war in September 1939, the Nazi persecution of the Jews in Germany was focused on intimidation, expropriating their money and property, and encouraging them to emigrate. According to the Nazi Party policy statement, Jews and the Romani people were the only "alien people in Europe". In 1936, the Bureau of Romani Affairs in Munich was taken over by Interpol and renamed the Center for Combating the Gypsy Menace. Introduced at the end of 1937, the "final solution of the Gypsy Question" entailed round-ups, expulsions, and incarceration of Romani in concentration camps built at, until this point, Dachau, Buchenwald, Flossenbürg, Mauthausen, Natzweiler, Ravensbruck, Taucha and Westerbork. After the Anschluss with Austria in 1938, Central Offices for Jewish Emigration were established in Vienna and Berlin to increase Jewish emigration, without covert plans for their forthcoming annihilation. The outbreak of war and the invasion of Poland brought a population of 3.5 million Polish Jews under the control of the Nazi and Soviet security forces, and marked the start of the Holocaust in Poland. In the German-occupied zone of Poland, Jews were forced into hundreds of makeshift ghettos, pending other arrangements. Two years later, with the launch of Operation Barbarossa, the invasion of the Soviet Union in June 1941, the German top echelon began to pursue Hitler's new anti-Semitic plan to eradicate, rather than expel, Jews. Hitler's earlier ideas about forcible removal of Jews from the German-controlled territories to achieve Lebensraum were abandoned after the failure of the air campaign against Britain, initiating a naval blockade of Germany. Reichsführer-SS Heinrich Himmler became the chief architect of a new plan, which came to be called The Final Solution to the Jewish question. On 31 July 1941, Reichsmarschall Hermann Göring wrote to Reinhard Heydrich (Himmler's deputy and chief of the RSHA), authorising him to make the "necessary preparations" for a "total solution of the Jewish question" and coordinate with all affected organizations. Göring also instructed Heydrich to submit concrete proposals for the implementation of the new projected goal. Broadly speaking, the extermination of Jews was carried out in two major operations. With the onset of Operation Barbarossa, mobile killing units of the SS, the Einsatzgruppen, and Order Police battalions were dispatched to the occupied Soviet Union for the express purpose of murdering all Jews. During the early stages of the invasion, Himmler himself visited Białystok at the beginning of July 1941, and requested that, "as a matter of principle, any Jew" behind the German-Soviet frontier was to be "regarded as a partisan". His new orders gave the SS and police leaders full authority for the mass-murder behind the front lines. By August 1941, all Jewish men, women, and children were shot. In the second phase of annihilation, the Jewish inhabitants of central, western, and south-eastern Europe were transported by Holocaust trains to camps with newly built gassing facilities. Raul Hilberg wrote: "In essence, the killers of the occupied USSR moved to the victims, whereas outside this arena, the victims were brought to the killers. The two operations constitute an evolution not only chronologically, but also in complexity." Massacres of about one million Jews occurred before plans for the Final Solution were fully implemented in 1942, but it was only with the decision to annihilate the entire Jewish population that extermination camps such as Auschwitz II Birkenau and Treblinka were fitted with permanent gas chambers to murder large numbers of Jews in a relatively short period of time. The plans to exterminate all the Jews of Europe were formalized at the Wannsee Conference, held at an SS guesthouse near Berlin, on 20 January 1942. The conference was chaired by Heydrich and attended by 15 senior officials of the Nazi Party and the German government. Most of those attending were representatives of the Interior Ministry, the Foreign Ministry, and the Justice Ministry, including Ministers for the Eastern Territories. At the conference, Heydrich indicated that approximately 11,000,000 Jews in Europe would fall under the provisions of the "Final Solution". This figure included not only Jews residing in Axis-controlled Europe, but also the Jewish populations of the United Kingdom and of neutral nations (Switzerland, Ireland, Sweden, Spain, Portugal, and European Turkey). Eichmann's biographer David Cesarani wrote that Heydrich's main purpose in convening the conference was to assert his authority over the various agencies dealing with Jewish issues. "The simplest, most decisive way that Heydrich could ensure the smooth flow of deportations" to death camps, according to Cesarani, "was by asserting his total control over the fate of the Jews in the Reich and the east" under the single authority of the RSHA. A copy of the minutes of this meeting was found by the Allies in March 1947; it was too late to serve as evidence during the first Nuremberg Trial, but was used by prosecutor General Telford Taylor in the subsequent Nuremberg Trials. After the end of World War II, surviving archival documents provided a clear record of the Final Solution policies and actions of Nazi Germany. They included the Wannsee Conference Protocol, which documented the co-operation of various German state agencies in the SS-led Holocaust, as well as some 3,000 tons of original German records captured by Allied armies, including the Einsatzgruppen reports, which documented the progress of the mobile killing units assigned, among other tasks, to murder Jewish civilians during the attack on the Soviet Union in 1941. The evidential proof which documented the mechanism of the Holocaust was submitted at Nuremberg. Phase one: death squads of Operation Barbarossa The Nazi invasion of the Soviet Union codenamed Operation Barbarossa, which commenced on 22 June 1941, set in motion a "war of annihilation" which quickly opened the door to the systematic mass murder of European Jews. For Hitler, Bolshevism was merely "the most recent and most nefarious manifestation of the eternal Jewish threat". On 3 March 1941, Wehrmacht Joint Operations Staff Chief Alfred Jodl repeated Hitler's declaration that the "Jewish-Bolshevik intelligentsia would have to be eliminated" and that the forthcoming war would be a confrontation between two completely opposing cultures. In May 1941, Gestapo leader Heinrich Müller wrote a preamble to the new law limiting the jurisdiction of military courts in prosecuting troops for criminal actions because: "This time, the troops will encounter an especially dangerous element from the civilian population, and therefore, have the right and obligation to secure themselves." Himmler and Heydrich assembled a force of about 3,000 men from Security Police, Gestapo, Kripo, SD, and the Waffen-SS, as the so-called "special commandos of the security forces" known as the Einsatzgruppen, to eliminate both communists and Jews in occupied territories. These forces were supported by 21 battalions of Orpo Reserve Police under Kurt Daluege, adding up to 11,000 men. The explicit orders given to the Order Police varied between locations, but for Police Battalion 309 participating in the first mass murder of 5,500 Polish Jews in the Soviet-controlled Białystok (a Polish provincial capital), Major Weiss explained to his officers that Barbarossa is a war of annihilation against Bolshevism, and that his battalions would proceed ruthlessly against all Jews, regardless of age or sex. After crossing the Soviet demarcation line in 1941, what had been regarded as exceptional in the Greater Germanic Reich became a normal way of operating in the east. The crucial taboo against the murder of women and children was breached not only in Białystok but also in Gargždai in late June. By July, significant numbers of women and children were being murdered behind all front-lines not only by the Germans but also by the local Ukrainian and Lithuanian auxiliary forces. On 29 July 1941, at a meeting of SS officers in Vileyka (Polish Wilejka, now Belarus), the Einsatzgruppen had been given a dressing-down for their low execution figures. Heydrich himself issued an order to include the Jewish women and children in all subsequent shooting operations. Accordingly, by the end of July the entire Jewish population of Vileyka, men, women and children, were murdered. Around 12 August, no less than two-thirds of the Jews shot in Surazh were women and children of all ages. In late August 1941 the Einsatzgruppen murdered 23,600 Jews in the Kamianets-Podilskyi massacre. A month later, the largest mass shooting of Soviet Jews took place on 29–30 September in the ravine of Babi Yar, near Kyiv, where more than 33,000 Jewish people of all ages were systematically machine-gunned. In mid-October 1941, HSSPF South, under the command of Friedrich Jeckeln, had reported the indiscriminate murder of more than 100,000 people. By the end of December 1941, before the Wannsee Conference, over 439,800 Jewish people had been murdered, and the Final Solution policy in the east became common knowledge within the SS. Entire regions were reported "free of Jews" by the Einsatzgruppen. Addressing his district governors in the General Government on 16 December 1941, Governor-General Hans Frank said: "But what will happen to the Jews? Do you believe they will be lodged in settlements in Ostland? In Berlin, we were told: why all this trouble; we cannot use them in the Ostland or the Reichskommissariat either; liquidate them yourselves!" Two days later, Himmler recorded the outcome of his discussion with Hitler. The result was: "als Partisanen auszurotten" ("exterminate them as partisans"). Israeli historian Yehuda Bauer wrote that the remark is probably as close as historians will ever get to a definitive order from Hitler for the genocide carried out during the Holocaust. Within two years, the total number of shooting victims in the east had risen to between 618,000 and 800,000 Jews. Bezirk Bialystok and Reichskommissariat Ostland Several scholars have suggested that the Final Solution began in the newly formed district of Bezirk Bialystok. The German army took over Białystok within days. On Friday, 27 June 1941, the Reserve Police Battalion 309 arrived in the city and set the Great Synagogue on fire with hundreds of Jewish men locked inside. The burning of the synagogue was followed by a frenzy of murders both inside the homes around the Jewish neighbourhood of Chanajki, and in the city park, lasting until night time. The next day, some 30 wagons of dead bodies were taken to mass graves. As noted by Browning, the murders were led by a commander "who correctly intuited and anticipated the wishes of his Führer" without direct orders. For reasons unknown, the number of victims in the official report by Major Weis was cut in half. The next mass-shooting of Polish Jews within the newly formed Reichskommissariat Ostland took place in two days of 5–7 August in occupied Pińsk, where over 12,000 Jews were murdered by the Waffen SS, not the Einsatzgruppen. An additional 17,000 Jews perished there in a ghetto uprising crushed a year later with the aid of Belarusian Auxiliary Police. An Israeli historian Dina Porat claimed that the Final Solution, i.e.: "the systematic overall physical extermination of Jewish communities one after the other—began in Lithuania" during the massive German chase after the Red Army across the Reichskommissariat Ostland. The subject of the Holocaust in Lithuania has been analysed by Konrad Kweit from USHMM who wrote: "Lithuanian Jews were among the first victims of the Holocaust [beyond the eastern borders of occupied Poland]. The Germans carried out the mass executions [...] signaling the beginning of the 'Final Solution'." About 80,000 Jews were murdered in Lithuania by October (including in formerly Polish Wilno) and about 175,000 by the end of 1941 according to official reports. Reichskommissariat Ukraine Within one week from the start of Operation Barbarossa, Heydrich issued an order to his Einsatzgruppen for the on-the-spot execution of all Bolsheviks, interpreted by the SS to mean all Jews. One of the first indiscriminate massacres of men, women, and children in Reichskommissariat Ukraine took the lives of over 4,000 Polish Jews in occupied Łuck on 2–4 July 1941, murdered by Einsatzkommando 4a assisted by the Ukrainian People's Militia. Formed officially on 20 August 1941, the Reichskommissariat Ukraine—stretching from prewar east-central Poland to Crimea—had become operational theatre of the Einsatzgruppe C. Within the Soviet Union proper, between 9 July 1941 and 19 September 1941 the city of Zhytomyr was made Judenfrei in three murder operations conducted by German and Ukrainian police in which 10,000 Jews perished. In the Kamianets-Podilskyi massacre of 26–28 August 1941 some 23,600 Jews were shot in front of open pits (including 14,000–18,000 people expelled from Hungary). After an incident in Bila Tserkva in which 90 small children left behind had to be shot separately, Blobel requested that Jewish mothers hold them in their arms during mass shootings. Long before the conference at Wannsee, 28,000 Jews were shot by SS and Ukrainian military in Vinnytsia on 22 September 1941, followed by the 29 September massacre of 33,771 Jews at Babi Yar. In Dnipropetrovsk, on 13 October 1941 some 10,000–15,000 Jews were shot. In Chernihiv, 10,000 Jews were murdered and only 260 Jews were spared. In mid-October, during the Krivoy-Rog massacre of 4,000–5,000 Soviet Jews the entire Ukrainian auxiliary police force actively participated. In the first days of January 1942 in Kharkiv, 12,000 Jews were murdered, but smaller massacres continued in this period on daily basis in countless other locations. In August 1942 in the presence of only a few German SS men over 5,000 Jews were massacred in Polish Zofjówka by the Ukrainian Auxiliary Police leading to the town's complete sweep from existence. Distrikt Galizien Historians find it difficult to determine precisely when the first concerted effort at annihilation of all Jews began in the last weeks of June 1941 during Operation Barbarossa. Dr. Samuel Drix (Witness to Annihilation), Jochaim Schoenfeld (Holocaust Memoirs), and several survivors of the Janowska concentration camp, who were interviewed in the film Janovska Camp at Lvov, among other witnesses, have argued that the Final Solution began in Lwów (Lemberg) in Distrikt Galizien of the General Government during the German advance across Soviet-occupied Poland. Statements and memoirs of survivors emphasize that, when Ukrainian nationalists and ad hoc Ukrainian People's Militia (soon reorganized as the Ukrainian Auxiliary Police) began to murder women and children, rather than only male Jews, the "Final Solution" had begun. Witnesses have said that such murders happened both prior to and during the pogroms reportedly triggered by the NKVD prisoner massacre. The question of whether there was some coordination between the Lithuanian and Ukrainian militias remains open (i.e. collaborating for a joint assault in Kovno, Wilno, and Lwów). The murders continued uninterrupted. On 12 October 1941, in Stanisławów, some 10,000–12,000 Jewish men, women, and children were shot at the Jewish cemetery by the German uniformed SS-men and Ukrainian Auxiliary Police during the so-called "" (de). The shooters began firing at 12 noon and continued without stopping by taking turns. There were picnic tables set up on the side with bottles of vodka and sandwiches for those who needed to rest from the deafening noise of gunfire. It was the single largest massacre of Polish Jews in Generalgouvernement prior to mass gassings of Aktion Reinhard, which commenced at Bełżec in March 1942. Notably, the extermination operations in Chełmno had begun on 8 December 1941, one-and-a-half months before Wannsee, but Chełmno—located in Reichsgau Wartheland—was not a part of Reinhard, and neither was Auschwitz-Birkenau functioning as an extermination center until November 1944 in Polish lands annexed by Hitler and added to Germany proper. The conference at Wannsee gave impetus to the so-called second sweep of the Holocaust by the bullet in the east. Between April and July 1942 in Volhynia, 30,000 Jews were murdered in death pits with the help of dozens of newly formed Ukrainian Schutzmannschaft. Owing to good relations with the Ukrainian Hilfsverwaltung, these auxiliary battalions were deployed by the SS also in Russia Center, Russia South, and in Byelorussia; each with about 500 soldiers divided into three companies. They participated in the extermination of 150,000 Volhynian Jews alone, or 98 percent of the Jewish inhabitants of the entire region. In July 1942 the Completion of the Final Solution in the General Government territory which included Distrikt Galizien, was ordered personally by Himmler. He set the initial deadline for 31 December 1942. Phase two: deportations to extermination camps When the Wehrmacht invaded the Soviet Union in June 1941, the area of the General Government was enlarged by the inclusion of regions that had been annexed by the Soviet Union since the 1939 invasion. The murders of Jews from the Łódź Ghetto in the Warthegau district began in early December 1941 with the use of gas vans (approved by Heydrich) at the Kulmhof extermination camp. Victims were misled under the deceptive guise of "Resettlement in the East", organised by SS Commissioners, was also tried and tested at Chełmno. By the time the European-wide Final Solution was formulated two months later, Heydrich's RSHA had already confirmed the effectiveness of industrial murder by exhaust fumes, and the strength of deception. Construction work on the first killing centre at Bełżec in occupied Poland began in October 1941, three months before the Wannsee Conference. The new facility was operational by March the following year. By mid-1942, two more death camps had been built on Polish lands: Sobibór operational by May 1942, and Treblinka operational in July. From July 1942, the mass murder of Polish and foreign Jews took place at Treblinka as part of Operation Reinhard, the deadliest phase of the Final Solution. More Jews were murdered at Treblinka than at any other Nazi extermination camp apart from Auschwitz. By the time the mass killings of Operation Reinhard ended in 1943, roughly two million Jews in German-occupied Poland had been murdered. The total number of people murdered in 1942 in Lublin/Majdanek, Bełżec, Sobibór, and Treblinka was 1,274,166 by Germany's own estimation, not counting Auschwitz II Birkenau nor Kulmhof. Their bodies were buried in mass graves initially. Both Treblinka and Bełżec were equipped with powerful crawler excavators from Polish construction sites in the vicinity, capable of most digging tasks without disrupting surfaces. Although other methods of extermination, such as the cyanic poison Zyklon B, were already being used at other Nazi killing centres such as Auschwitz, the Aktion Reinhard camps used lethal exhaust gases from captured tank engines. The Holocaust by bullets (as opposed to the Holocaust by gas) went on in the territory of occupied Poland in conjunction with the ghetto uprisings, irrespective of death camps' quota. In two weeks of July 1942, the Słonim Ghetto revolt, crushed with the help of Latvian, Lithuanian, and Ukrainian Schutzmannschaft, cost the lives of 8,000–13,000 Jews. The second largest mass shooting (to that particular date) took place in late October 1942 when the insurgency was suppressed in the Pińsk Ghetto; over 26,000 men, women and children were shot with the aid of Belarusian Auxiliary Police before the ghetto's closure. During the suppression of the Warsaw Ghetto Uprising (the largest single revolt by Jews during World War II), 13,000 Jews were killed in action before May 1943. Numerous other uprisings were quelled without impacting the pre-planned Nazi deportations actions. About two-thirds of the overall number of victims of the Final Solution were murdered before February 1943, which included the main phase of the extermination programme in the West launched by Eichmann on 11 June 1942 from Berlin. The Holocaust trains run by the Deutsche Reichsbahn and several other national railway systems delivered condemned Jewish captives from as far as Belgium, Bulgaria, France, Greece, Hungary, Italy, Moravia, Netherlands, Romania, Slovakia, and even Scandinavia. The cremation of exhumed corpses to destroy any evidence left behind began in early spring and continued throughout summer. The nearly completed clandestine programme of murdering all deportees was explicitly addressed by Heinrich Himmler in his Posen speeches made to the leadership of the Nazi Party on 4 October and during a conference in Posen (Poznan) of 6 October 1943 in occupied Poland. Himmler explained why the Nazi leadership found it necessary to murder Jewish women and children along with the Jewish men. The assembled functionaries were told that the Nazi state policy was "the extermination of the Jewish people" as such. On 19 October 1943, five days after the prisoner revolt in Sobibór, Operation Reinhard was terminated by Odilo Globocnik on behalf of Himmler. The camps responsible for the murder of nearly 2,700,000 Jews were soon closed. Bełżec, Sobibór, and Treblinka were dismantled and ploughed over before spring. The operation was followed by the single largest German massacre of Jews in the entire war carried out on 3 November 1943; with approximately 43,000 prisoners shot one-by-one simultaneously in three nearby locations by the Reserve Police Battalion 101 hand-in-hand with the Trawniki men from Ukraine. Auschwitz alone had enough capacity to fulfill the Nazis' remaining extermination needs. Auschwitz II Birkenau Unlike Belzec, Sobibor, Treblinka, and Lublin-Majdanek, which were built in the occupied General Government territory inhabited by the largest concentrations of Jews, the killing centre at Auschwitz subcamp of Birkenau operated in Polish areas annexed by Nazi Germany directly. The new gas chambers at Bunker I were finished around March 1942 when the Final Solution was officially launched at Belzec. Until mid-June 20,000 Silesian Jews were murdered there using Zyklon B. In July 1942, Bunker II became operational. In August, another 10,000–13,000 Polish Jews from Silesia were murdered, along with 16,000 French Jews declared 'stateless', and 7,700 Jews from Slovakia. The infamous 'Gate of Death' at Auschwitz II for the incoming freight trains was built of brick and cement mortar in 1943, and the three-track rail spur was added. Until mid-August, 45,000 Thessaloniki Jews were murdered in a mere six months, including over 30,000 Jews from Sosnowiec (Sosnowitz) and Bendzin Ghettos. The spring of 1944 marked the beginning of the last phase of the Final Solution at Birkenau. The new big ramps and sidings were constructed, and two freight elevators were installed inside Crematoria II and III for moving the bodies faster. The size of the Sonderkommando was nearly quadrupled in preparation for the Special Operation Hungary (Sonderaktion Ungarn). In May 1944, Auschwitz-Birkenau became the site of one of the two largest mass murder operations in modern history, after the Großaktion Warschau deportations of the Warsaw Ghetto inmates to Treblinka in 1942. It is estimated that until July 1944 approximately 320,000 Hungarian Jews were gassed at Birkenau in less than eight weeks. The entire operation was photographed by the SS. In total, between April and November 1944, Auschwitz II received over 585,000 Jews from over a dozen regions as far as Greece, Italy, and France, including 426,000 Jews from Hungary, 67,000 from Łódź, 25,000 from Theresienstadt, and the last 23,000 Jews from the General Government. Auschwitz was liberated by the Red Army on 27 January 1945, when the gassing had already stopped. Historiographic debate about the decision Historians disagree as to when and how the Nazi leadership decided that the European Jews should be exterminated. The controversy is commonly described as the functionalism versus intentionalism debate which began in the 1960s, and subsided thirty years later. In the 1990s, the attention of mainstream historians moved away from the question of top executive orders triggering the Holocaust and focused on factors that were overlooked earlier, such as personal initiative and ingenuity of countless functionaries in charge of the killing fields. No written evidence of Hitler ordering the Final Solution has ever been found to serve as a "smoking gun", and therefore, this one particular question remains unanswered. Hitler made numerous predictions regarding the Holocaust of the Jews of Europe prior to the beginning of World War II. During a speech given on 30 January 1939, on the sixth anniversary of his accession to power, Hitler said: Raul Hilberg, in his book The Destruction of the European Jews, was the first historian to systematically document and analyse the Nazi project to murder every Jew in Europe. The book was initially published in 1961, and issued in an enlarged version in 1985. Hilberg's analysis of the steps that led to the destruction of European Jews revealed that it was "an administrative process carried out by bureaucrats in a network of offices spanning a continent". Hilberg divides this bureaucracy into four components or hierarchies: the Nazi Party, the civil service, industry, and the Wehrmacht armed forces—but their cooperation is viewed as "so complete that we may truly speak of their fusion into a machinery of destruction". For Hilberg, the key stages in the destruction process were: definition and registration of the Jews; expropriation of property; concentration into ghettoes and camps; and, finally, annihilation. Hilberg gives an estimate of 5.1 million as the total number of Jews murdered. He breaks this figure down into three categories: Ghettoization and general privation: over 800,000; open-air shootings: over 1,300,000; extermination camps: up to 3,000,000. With respect to the "functionalism versus intentionalism" debate about a master plan for the Final Solution, or the lack thereof, Hilberg posits what has been described as "a kind of structural determinism". Hilberg argues that "a destruction process has an inherent pattern" and the "sequence of steps in a destruction process is thus determined". If a bureaucracy is motivated "to inflict maximum damage upon a group of people", it is "inevitable that a bureaucracy—no matter how decentralized its apparatus or how unplanned its activities—should push its victims through these stages", culminating in their annihilation. In his monograph, The Origins of the Final Solution: The Evolution of Nazi Jewish Policy, September 1939 – March 1942, Christopher Browning argues that Nazi policy toward the Jews was radicalized twice: in September 1939, when the invasion of Poland implied policies of mass expulsion and massive loss of Jewish lives; and in spring 1941, when preparation for Operation Barbarossa involved the planning of mass execution, mass expulsion, and starvation—to dwarf what had happened in Jewish Poland. Browning believes that the "Final Solution as it is now understood—the systematic attempt to murder every last Jew within the German grasp" took shape during a five-week period, from 18 September to 25 October 1941. During this time, the sites of the first extermination camps were selected, different methods of murder were tested, Jewish emigration was forbidden, and 11 transports departed for Łódź as a temporary holding station. Of this period, Browning writes, "The vision of the Final Solution had crystallised in the minds of the Nazi leadership, and was being turned into reality." This was the peak of Nazi victories against the Soviet Army on the Eastern Front, and, according to Browning, the stunning series of German victories led to both an expectation that the war would soon be won, and the planning of the final destruction of the "Jewish-Bolshevik enemy". Browning describes the creation of the extermination camps, which were responsible for the largest number of murders in the Final Solution, as bringing together three separate developments within Nazi Germany: the concentration camps which had been established in Germany since 1933; an expansion of the gassing technology of the Nazi euthanasia programme to provide a murder technique of greater efficiency and psychological detachment; and the creation of "factories of death" to be fed endless streams of victims by mass uprooting and deportation that utilized the experience and personnel from earlier population resettlement programmes—especially the HSSPF and Adolf Eichmann's RSHA for "Jewish affairs and evacuations". Peter Longerich argues that the search for a finite date on which the Nazis embarked upon the extermination of the Jews is futile, in his book Holocaust: The Nazi Persecution and Murder of the Jews (2011). Longerich writes: "We should abandon the notion that it is historically meaningful to try to filter the wealth of available historical material and pick out a single decision" that led to the Holocaust. Timothy Snyder writes that Longerich "grants the significance of Greiser's murder of Jews by gas at Chełmno in December 1941", but also detects a significant moment of escalation in spring 1942, which includes "the construction of the large death factory at Treblinka for the destruction of the Warsaw Jews, and the addition of a gas chamber to the concentration camp at Auschwitz for the murder of the Jews of Silesia". Longerich suggests that it "was only in the summer of 1942, that mass killing was finally understood as the realization of the Final Solution, rather than as an extensively violent preliminary to some later program of slave labor and deportation to the lands of a conquered USSR". For Longerich, to see mass-murder as the Final Solution was an acknowledgement by the Nazi leadership that there would not be a German military victory over the USSR in the near future. David Cesarani emphasises the improvised, haphazard nature of Nazi policies in response to changing war time conditions in his overview, Final Solution: The Fate of the European Jews 1933–49 (2016). "Cesarani provides telling examples", wrote Mark Roseman, "of a lack of coherence and planning for the future in Jewish policy, even when we would most expect it. The classic instance is the invasion of Poland in 1939, when not even the most elementary consideration had been given to what should happen to Poland's Jews either in the shorter or longer term. Given that Poland was home to the largest Jewish population in the world, and that, in a couple of years, it would house the extermination camps, this is remarkable." Whereas Browning places the Nazi plan to exterminate the Jews in the context of the Wehrmacht victories on the Eastern front, Cesarani argues that the German subsequent realisation that there would be no swift victory over the Soviet Union "scuppered the last territorial 'solution' still on the table: expulsion to Siberia". Germany's declaration of war on the United States on 11 December 1941, "meant that holding European Jews hostage to deter the US from entering the conflict was now pointless". Cesarani concludes, the Holocaust "was rooted in anti-Semitism, but it was shaped by war". The fact that the Nazis were, ultimately, so successful in murdering between five and six million Jews was not due to the efficiency of Nazi Germany or the clarity of their policies. "Rather, the catastrophic rate of killing was due to German persistence ... and the duration of the murderous campaigns. This last factor was largely a consequence of allied military failure." The entry of the U.S. into the War is also crucial to the time-frame proposed by Christian Gerlach, who argued in his 1997 thesis that the Final Solution decision was announced on 12 December 1941, when Hitler addressed a meeting of the Nazi Party (the Reichsleiter) and of regional party leaders (the Gauleiter). The day after Hitler's speech, on 13 December 1941 Joseph Goebbels wrote in his diary: Cesarani notes that by 1943, as the military position of the German forces deteriorated, the Nazi leadership became more openly explicit about the Final Solution. In March, Goebbels confided to his diary: "On the Jewish question especially, we are in it so deeply that there is no getting out any longer. And that is a good thing. Experience teaches that a movement and a people who have burned their bridges fight with much greater determination and fewer constraints than those that have a chance of retreat." When Himmler addressed senior SS personnel and leading members of the regime in the Posen speeches on 4 October 1943, he used "the fate of the Jews as a sort of blood bond to tie the civil and military leadership to the Nazi cause". See also Timeline of the Holocaust – The genocide of Jewish people by Nazi Germany, under the rule of Adolf Hitler Korherr Report written in 1943 on the progress of the Final Solution Höfle Telegram with arrivals for the camps of Einsatz Reinhardt The role of railways in the Final Solution History of the Jews during World War II Madagascar Plan for Jewish relocation Porajmos, Romani genocide during World War II Never again Notes Citations References Newer edition by Univ. of Nebraska Press / Yad Vashem 2007. External links Website of the House of the Wannsee Conference The Development of the "Final Solution"—lecture from Dr. David Silberklang, Yad Vashem Elimination of the Jewish National Home in Palestine: The Einsatzkommando of the Panzer army Africa, 1942 by Klaus-Michael Mallmann and Martin Cüppers Death Decree: Göring directive officially launches the Final Solution 1942 in Europe The Holocaust Nazi terminology Holocaust terminology Holocaust historiography Ethnic cleansing in Europe Euphemisms
10186
https://en.wikipedia.org/wiki/Eastern%20Orthodox%20Church
Eastern Orthodox Church
The Eastern Orthodox Church, also called the Orthodox Church, is the second-largest Christian church, with approximately 220 million baptized members. It operates as a communion of autocephalous congregations, each governed by its bishops and adherents in local synods. The church has no central doctrinal or governmental authority analogous to the Head of the Roman Catholic Church, the Pope, but the Ecumenical Patriarch of Constantinople is recognized by them as primus inter pares ("first among equals") and regarded as the spiritual leader of many of the eastern Christian parishes. As one of the oldest surviving religious institutions in the world, the Eastern Orthodox Church has played a prominent role in the history and culture of Eastern and Southeastern Europe, the Caucasus, and the Near East. The Eastern Orthodox Church officially calls itself the Orthodox Catholic Church. Eastern Orthodox theology is based on holy tradition, which incorporates the dogmatic decrees of the seven ecumenical councils, the Scriptures, and the teaching of the Church Fathers. The church teaches that it is the one, holy, catholic and apostolic church established by Jesus Christ in his Great Commission, and that its bishops are the successors of Christ's apostles. It maintains that it practices the original Christian faith, as passed down by holy tradition. Its patriarchates, reminiscent of the pentarchy, and other autocephalous and autonomous churches, reflect a variety of hierarchical organisation. It recognizes seven major sacraments, of which the Eucharist is the principal one, celebrated liturgically in synaxis. The church teaches that through consecration invoked by a priest, the sacrificial bread and wine become the body and blood of Christ. The Virgin Mary is venerated in the Eastern Orthodox Church as the God-bearer, honored in devotions. The churches of Constantinople, Alexandria, Jerusalem, and Antioch—except for some breaks of communion such as the Photian schism or the Acacian schism—shared communion with the Church of Rome until the East–West Schism in 1054. The 1054 schism was the culmination of mounting theological, political, and cultural disputes, particularly over the authority of the pope, between those churches. Before the Council of Ephesus in AD 431, the Church of the East also shared in this communion, as did the various Oriental Orthodox Churches before the Council of Chalcedon in AD 451, all separating primarily over differences in Christology. The majority of Eastern Orthodox Christians live mainly in Southeast and Eastern Europe, Cyprus, Georgia, and parts of the Caucasus region, Siberia, and the Russian Far East. Roughly half of Eastern Orthodox Christians live in the post-Soviet states, mostly Russia. There are also communities in the former Byzantine regions of Africa, the Eastern Mediterranean, and in the Middle East, which are decreasing due to forced migration driven by increased religious persecution. Eastern Orthodox communities are also present in many other parts of the world, particularly North America, Western Europe, and Australia, formed through diaspora, conversions, and missionary activity. Name and characteristics Definition The Eastern Orthodox Church is defined as the Eastern Christians which recognize the seven ecumenical councils and usually are in communion with the Ecumenical Patriarchate, the Patriarchate of Alexandria, the Patriarchate of Antioch, and the Patriarchate of Jerusalem. The Eastern Orthodox churches "are defined positively by their adherence to the dogmatic definitions of the seven [ecumenical] councils, by the strong sense of not being a sect or a denomination but simply continuing the Christian church, and, despite their varied origins, by adherence to the Byzantine rite." Those churches are negatively defined by their rejection of papal immediate and universal supremacy. The seven ecumenical councils recognized by the Eastern Orthodox churches are: Nicaea I, Constantinople I, Ephesus, Chalcedon, Constantinople II, Constantinople III, and Nicaea II. Those churches consider the Quinisext Council "shar[es] the ecumenical authority of Constantinople III. "By an agreement that appears to be in place in the [Eastern] Orthodox world, possibly the council held in 879 to vindicate the Patriarch Photius will at some future date be recognized as the eight [ecumenical] council" by the Eastern Orthodox Church. The Western rite Orthodoxy exists both outside and inside Eastern Orthodoxy. Within Eastern Orthodoxy, it is practised by a vicariate of the Antiochian Orthodox church. Name In keeping with the church's teaching on universality and with the Nicene Creed, Eastern Orthodox authorities such as Saint Raphael of Brooklyn have insisted that the full name of the church has always included the term "Catholic", as in "Holy Orthodox Catholic Apostolic Church". The official name of the Eastern Orthodox Church is the "Orthodox Catholic Church". It is the name by which the church refers to itself and which issued in its liturgical or canonical texts. Eastern Orthodox theologians refer to the church as catholic. This name and longer variants containing "Catholic" are also recognized and referenced in other books and publications by secular or non-Eastern Orthodox writers. The catechism of Philaret (Drozdov) of Moscow published in the 19th century is titled: The Longer Catechism of the Orthodox, Catholic, Eastern Church (). The common name of the church, "Eastern Orthodox Church", is a shortened practicality that helps to avoid confusions in casual use. From ancient times through the first millennium, Greek was the most prevalent shared language in the demographic regions where the Byzantine Empire flourished, and Greek, being the language in which the New Testament was written, was the primary liturgical language of the church. For this reason, the eastern churches were sometimes identified as "Greek" (in contrast to the "Roman" or "Latin" church, which used a Latin translation of the Bible), even before the Great Schism of 1054. After 1054, "Greek Orthodox" or "Greek Catholic" marked a church as being in communion with Constantinople, much as "Catholic" did for communion with the Catholic Church. This identification with Greek, however, became increasingly confusing with time. Missionaries brought Eastern Orthodoxy to many regions without ethnic Greeks, where the Greek language was not spoken. In addition, struggles between Rome and Constantinople to control parts of Southeastern Europe resulted in the conversion of some churches to the Catholic Church, which then also used "Greek Catholic" to indicate their continued use of the Byzantine rites. Today, many of those same churches remain, while a very large number of Eastern Orthodox are not of Greek national origin, and do not use Greek as the language of worship. "Eastern", then, indicates the geographical element in the church's origin and development, while "Orthodox" indicates the faith, as well as communion with the Ecumenical Patriarchate of Constantinople. There are additional Christian churches in the east that are in communion with neither the Catholic Church nor the Eastern Orthodox Church, who tend to be distinguished by the category named "Oriental Orthodox". While the Eastern Orthodox Church continues officially to call itself "Catholic", for reasons of universality, the common title of "Eastern Orthodox Church" avoids casual confusion with the Roman Catholic Church. Orthodoxy The first known use of the phrase "the catholic Church" (he katholike ekklesia) occurred in a letter written about 110 AD from one Greek church to another (Saint Ignatius of Antioch to the Smyrnaeans). The letter states: "Wheresoever the bishop shall appear, there let the people be, even as where Jesus may be, there is the universal [katholike] Church." Thus, almost from the beginning, Christians referred to the Christian Church as the "one, holy, catholic (from the Greek καθολική, 'according to the whole, universal') and apostolic Church". The Eastern Orthodox Church claims that it is today the continuation and preservation of that same early church. A number of other Christian churches also make a similar claim: the Roman Catholic Church, the Anglican Communion, the Assyrian Church and the Oriental Orthodox. In the Eastern Orthodox view, the Assyrians and Orientals left the Orthodox Church in the years following the Third Ecumenical Council of Ephesus (431) and the Fourth Ecumenical Council of Chalcedon (451), respectively, in their refusal to accept those councils' Christological definitions. Similarly, the churches in Rome and Constantinople separated in an event known as the East–West Schism, traditionally dated to the year 1054, although it was more a gradual process than a sudden break. To all these churches, the claim to catholicity (universality, oneness with the ancient Church) is important for multiple doctrinal reasons that have more bearing internally in each church than in their relation to the others, now separated in faith. The meaning of holding to a faith that is true is the primary reason why anyone's statement of which church split off from which other has any significance at all; the issues go as deep as the schisms. The depth of this meaning in the Eastern Orthodox Church is registered first in its use of the word "Orthodox" itself, a union of Greek orthos ("straight", "correct", "true", "right") and doxa ("common belief", from the ancient verb δοκέω-δοκῶ which is translated "to believe", "to think", "to consider", "to imagine", "to assume"). The dual meanings of doxa, with "glory" or "glorification" (of God by the church and of the church by God), especially in worship, yield the pair "correct belief" and "true worship". Together, these express the core of a fundamental teaching about the inseparability of belief and worship and their role in drawing the church together with Christ. The Bulgarian and all the Slavic churches use the title Pravoslavie (Cyrillic: Православие), meaning "correctness of glorification", to denote what is in English Orthodoxy, while the Georgians use the title Martlmadidebeli. The term "Eastern Church" (the geographic east in the East–West Schism) has been used to distinguish it from western Christendom (the geographic West, which at first came to designate the Catholic communion, later also the various Protestant and Anglican branches). "Eastern" is used to indicate that the highest concentrations of the Eastern Orthodox Church presence remain in the eastern part of the Christian world, although it is growing worldwide. Orthodox Christians throughout the world use various ethnic or national jurisdictional titles, or more inclusively, the title "Eastern Orthodox", "Orthodox Catholic", or simply "Orthodox". What unites Orthodox Christians is the catholic faith as carried through holy tradition. That faith is expressed most fundamentally in scripture and worship, and the latter most essentially through baptism and in the Divine Liturgy. The lines of even this test can blur, however, when differences that arise are not due to doctrine, but to recognition of jurisdiction. As the Eastern Orthodox Church has spread into the west and over the world, the church as a whole has yet to sort out all the inter-jurisdictional issues that have arisen in the expansion, leaving some areas of doubt about what is proper church governance. Moreover, as in the ancient church persecutions, the aftermath of persecutions of Christians in communist nations has left behind some issues of governance and lapse piety that have yet to be completely resolved. All members of the Eastern Orthodox Church profess the same faith, regardless of race or nationality, jurisdiction or local custom, or century of birth. Holy tradition encompasses the understandings and means by which that unity of faith is transmitted across boundaries of time, geography, and culture. It is a continuity that exists only inasmuch as it lives within Christians themselves. It is not static, nor an observation of rules, but rather a sharing of observations that spring both from within and also in keeping with others, even others who lived lives long past. The church proclaims the Holy Spirit maintains the unity and consistency of holy tradition to preserve the integrity of the faith within the church, as given in the scriptural promises. The shared beliefs of Orthodoxy, and its theology, exist within holy tradition and cannot be separated from it, for their meaning is not expressed in mere words alone. Doctrine cannot be understood unless it is prayed. Doctrine must also be lived in order to be prayed, for without action, the prayer is idle and empty, a mere vanity, and therefore the theology of demons. Catholicity The Eastern Orthodox Church considers itself to be both orthodox and catholic. The doctrine of the Catholicity of the Church, as derived from the Nicene Creed, is essential to Eastern Orthodox ecclesiology. The term Catholicity of the Church (Greek ) is used in its original sense, as a designation for the universality of the Christian Church, centered around Christ. Therefore, the Eastern Orthodox notion of catholicity is not centered around any singular see, unlike the Catholic Church which has one earthly center. Due to the influence of the Catholic Church in the west, where the English language itself developed, the words "catholic" and "catholicity" are sometimes used to refer to that church specifically. However, the more prominent dictionary sense given for general use is still the one shared by other languages, implying breadth and universality, reflecting comprehensive scope. In a Christian context, the Christian Church, as identified with the original church founded by Christ and his apostles, is said to be catholic (or universal) in regard to its union with Christ in faith. Just as Christ is indivisible, so are union with him and faith in him, whereby the Christian Church is "universal", unseparated, and comprehensive, including all who share that faith. Orthodox bishop Kallistos Ware has called that "simple Christianity". That is the sense of early and patristic usage wherein the church usually refers to itself as the "Catholic Church", whose faith is the "Orthodox faith". It is also the sense within the phrase "one, holy, catholic, and apostolic Church", found in the Nicene Creed, and referred to in Orthodox worship, e.g. in the litany of the catechumens in the Divine Liturgy. With the mutual excommunications of the East–West Schism in 1054, the churches in Rome and Constantinople each viewed the other as having departed from the true church, leaving a smaller but still-catholic church in place. Each retained the "Catholic" part of its title, the "Roman Catholic Church" (or Catholic Church) on the one hand, and the "Orthodox Catholic Church" on the other, each of which was defined in terms of inter-communion with either Rome or Constantinople. While the Eastern Orthodox Church recognises what it shares in common with other churches, including the Catholic Church, it sees catholicity in terms of complete union in communion and faith, with the Church throughout all time, and the sharing remains incomplete when not shared fully. History Early Church Paul and the Apostles traveled extensively throughout the Roman Empire, including Asia Minor, establishing churches in major communities, with the first churches appearing in Jerusalem and the Holy Land, then in Antioch, Ethiopia, Egypt, Rome, Alexandria, Athens, Thessalonica, Illyricum, and Byzantium, which centuries later would become prominent as the New Rome. Christianity encountered considerable resistance in the Roman Empire, mostly because its adherents refused to comply with the demands of the Roman state—often even when their lives were threatened—by offering sacrifices to the pagan gods. Despite persecution, skepticism, and initial social stigma, the Christian Church spread, particularly following the conversion of Emperor Constantine I in 312 AD. By the fourth century, Christianity was present in numerous regions well beyond the Levant. A number of influential schools of thought had arisen, particularly the Alexandrian and Antiochian philosophical approaches. Other groups, such as the Arians, had also managed to gain influence. However, their positions caused theological conflicts within the Church, thus prompting the Emperor Constantine to call for a great ecumenical synod in order to define the Church's position against the growing, often widely diverging, philosophical and theological interpretations of Christianity. He made it possible for this council to meet not only by providing a location, but by offering to pay for the transportation of all the existing bishops of the church. Most modern Christian churches regard this synod, commonly called the First Council of Nicaea or more generally the First Ecumenical Council, as of major importance. Ecumenical councils Several doctrinal disputes from the fourth century onwards led to the calling of ecumenical councils. In the Orthodox Church, an ecumenical council is the supreme authority that can be invoked to resolve contested issues of the faith. As such, these councils have been held to resolve the most important theological matters that came to be disputed within the Christian Church. Many lesser disagreements were resolved through local councils in the areas where they arose, before they grew significant enough to require an ecumenical council. There are seven councils authoritatively recognised as ecumenical by the Eastern Orthodox Church: The First Ecumenical Council was convoked by the Roman Emperor Constantine at Nicaea in 325 and presided over by the Patriarch Alexander of Alexandria, with over 300 bishops condemning the view of Arius that the Son is a created being inferior to the Father. The Second Ecumenical Council was held at Constantinople in 381, presided over by the Patriarchs of Alexandria and Antioch, with 150 bishops, defining the nature of the Holy Spirit against those asserting His inequality with the other persons of the Trinity. The Third Ecumenical Council is that of Ephesus in 431, presided over by the Patriarch of Alexandria, with 250 bishops, which affirmed that Mary is truly "Birthgiver" or "Mother" of God (Theotokos), contrary to the teachings of Nestorius. The Fourth Ecumenical Council is that of Chalcedon in 451, Patriarch of Constantinople presiding, 500 bishops, affirmed that Jesus is truly God and truly man, without mixture of the two natures, contrary to Monophysite teaching. The Fifth Ecumenical Council is the second of Constantinople in 553, interpreting the decrees of Chalcedon and further explaining the relationship of the two natures of Jesus; it also condemned the alleged teachings of Origen on the pre-existence of the soul, etc. The Sixth Ecumenical Council is the third of Constantinople in 681; it declared that Christ has two wills of his two natures, human and divine, contrary to the teachings of the Monothelites. The Seventh Ecumenical Council was called under the Empress Regent Irene of Athens in 787, known as the second of Nicaea. It supports the veneration of icons while forbidding their worship. It is often referred to as "The Triumph of Orthodoxy". There are also two other councils which are considered ecumenical by some E. Orthodox: The Fourth Council of Constantinople was called in 879. It restored Photius to his See in Constantinople and condemned any alteration of the Nicene-Constantinopolitan Creed of 381. The Fifth Council of Constantinople was actually a series of councils held between 1341 and 1351. It affirmed the hesychastic theology of St. Gregory Palamas and condemned the philosopher Barlaam of Calabria. Other major councils In addition to these councils, there have been a number of other significant councils meant to further define the Eastern Orthodox position. They are the Synods of Constantinople, in 1484, 1583, 1755, 1819, and 1872, the Synod of Iași in 1642, and the Pan-Orthodox Synod of Jerusalem in 1672. Another council convened in June 2016 to discuss many modern phenomena, other Christian confessions, Eastern Orthodoxy's relation with other religions and fasting disciplines. Roman/Byzantine Empire Eastern Christian culture reached its golden age during the high point of the Byzantine Empire and continued to flourish in Ukraine and Russia, after the fall of Constantinople. Numerous autocephalous churches were established in Europe: Greece, Georgia, Ukraine, as well as in Russia and Asia. In the 530s the Church of the Holy Wisdom (Hagia Sophia) was built in Constantinople under Emperor Justinian I. Beginning with subsequent Byzantine architecture, Hagia Sophia became the paradigmatic Orthodox church form and its architectural style was emulated by Ottoman mosques a thousand years later. Being the episcopal see of the ecumenical patriarch of Constantinople, it remained the world's largest cathedral for nearly a thousand years, until Seville Cathedral was completed in 1520. Hagia Sophia has been described as "holding a unique position in the Christian world", and architectural and cultural icon of Byzantine and Eastern Orthodox civilization, and it is considered the epitome of Byzantine architecture and is said to have "changed the history of architecture". Early schisms There are the "Nestorian" churches resulted from the reaction of the Council of Ephesus (431), which are the earliest surviving Eastern Christian churches that keep the faith of only the first two ecumenical councils, i.e., the First Council of Nicaea (325) and the First Council of Constantinople (381) as legitimate. "Nestorian" is an outsider's term for a tradition that predated the influence of Nestorius, the origin of which might lay in certain sections of the School of Antioch or via Nestorius' teachers Theodore of Mopsuestia or Diodore of Tarsus. The modern incarnation of the "Nestorian Church" is commonly referred to as "the Assyrian Church" or fully as the Assyrian Church of the East. The church in Egypt (Patriarchate of Alexandria) split into two groups following the Council of Chalcedon (451), over a dispute about the relation between the divine and human natures of Jesus. Eventually this led to each group anathematizing the other. Those that remained in communion with the other patriarchs (by accepting the Council of Chalcedon) are known today as the Greek Orthodox Church of Alexandria, where the adjective "Greek" refers to their ties to the Greek-speaking culture of the Byzantine Empire. However, those who disagreed with the findings of the Council of Chalcedon were the majority in Egypt, and today they are known as the Coptic Orthodox Church, having maintained a separate patriarchate. The Coptic Orthodox Church is currently the largest Christian church in Egypt and in the whole Middle East. There was also a similar, albeit smaller scale, split in Syria (Patriarchate of Antioch), which resulted in the separation of the Syriac Orthodox Church from the Byzantine Patriarchate of Antioch. Those who disagreed with the Council of Chalcedon are sometimes called "Oriental Orthodox" to distinguish them from the "Eastern Orthodox", who accepted the Council of Chalcedon. Oriental Orthodox are also sometimes referred to as "non-Chalcedonians", or "anti-Chalcedonians". The Oriental Orthodox Church denies that it is monophysite and prefers the term "miaphysite", to denote the "united" nature of Jesus (two natures united into one) consistent with St. Cyril's theology: "The term union ... signifies the concurrence in one reality of those things which are understood to be united" and "the Word who is ineffably united with it in a manner beyond all description" (St. Cyril of Alexandria, On the Unity of Christ). This is also defined in the Coptic liturgy, where it is mentioned "He made it [his humanity] one with his divinity without mingling, without confusion and without alteration", and "His divinity parted not from his humanity for a single moment nor a twinkling of an eye." They do not accept the teachings of Eutyches, or Eutychianism. Both the Eastern Orthodox and Oriental Orthodox churches formally believe themselves to be the continuation of the true church. Conversion of South and East Slavs In the ninth and tenth centuries, Christianity made great inroads into pagan Europe, including Bulgaria (864) and later Kievan Rus' (988). This work was made possible by saints Cyril and Methodius of Thessaloniki, two brothers chosen by Byzantine emperor Michael III to fulfill the request of Rastislav of Moravia for teachers who could minister to the Moravians in their own language. Cyril and Methodius began translating the divine liturgy, other liturgical texts, and the Gospels along with some other scriptural texts into local languages; with time, as these translations were copied by speakers of other dialects, the hybrid literary language Church Slavonic was created. Originally sent to convert the Slavs of Great Moravia, Cyril and Methodius were forced to compete with Frankish missionaries from the Roman diocese; their disciples were driven out of Great Moravia in AD 886 and emigrated to Bulgaria. After the Christianisation of Bulgaria in 864, the disciples of saints Cyril and Methodius in Bulgaria, the most important being Saint Clement of Ohrid and Saint Naum of Preslav, were of great importance to the Orthodox faith in the First Bulgarian Empire. In a short time they managed to prepare and instruct the future Bulgarian clergy into the biblical texts and in 870 AD the Fourth Council of Constantinople granted the Bulgarians the oldest organised autocephalous Slavic Orthodox Church, which shortly thereafter became Patriarchate. The success of the conversion of the Bulgarians facilitated the conversion of East Slavic peoples, most notably the Rus', predecessors of Belarusians, Russians, and Ukrainians. A major event in this effort was the development of the Cyrillic script in Bulgaria, at the Preslav Literary School in the ninth century; this script, along with the liturgical Old Church Slavonic, also called Old Bulgarian, were declared official in Bulgaria in 893. The work of Cyril and Methodius and their disciples had a major impact on the Serbs as well. They accepted Christianity collectively along familial and tribal lines, a gradual process that occurred between the seventh and ninth centuries. In commemoration of their baptisms, each Serbian family or tribe began to celebrate an exclusively Serbian custom called Slava (patron saint) in a special way to honor the Saint on whose day they received the sacrament of Holy Baptism. It is the most solemn day of the year for all Serbs of the Orthodox faith and has played a role of vital importance in the history of the Serbian people. Slava remains a celebration of the conversion of the Serbian people, which the Church blessed and proclaimed a Church institution. The missionaries to the East and South Slavs had great success in part because they used the people's native language rather than Greek, the predominant language of the Byzantine Empire, or Latin, as the Roman priests did. Perhaps the greatest legacy of their efforts is the Russian Orthodox Church, which is the largest of the Orthodox churches. Great Schism (1054) In the 11th century, what was recognised as the Great Schism took place between Rome and Constantinople, which led to separation between the Church of the West, the Catholic Church, and the Eastern Byzantine churches, now the Orthodox. There were doctrinal issues like the filioque clause and the authority of the Roman Pope involved in the split, but these were greatly exacerbated by political factors of both Church and state, and by cultural and linguistic differences between Latins and Greeks. Regarding papal supremacy, the Eastern half grew disillusioned with the Pope's centralisation of power, as well as his blatant attempts of excluding the Eastern half in regard to papal approvals. It used to be that the emperor would at least have say when a new Pope would be elected, but towards the high Middle Ages, the Christians in Rome were slowly consolidating power and removing Byzantine influence. However, even before this exclusionary tendency from the West, well before 1054, the Eastern and Western halves of the Church were in perpetual conflict, particularly during the periods of Eastern iconoclasm and the Photian schism. The final breach is often considered to have arisen after the capture and sacking of Constantinople by the Fourth Crusade in 1204; the final break with Rome occurred circa 1450. The sacking of Church of Holy Wisdom and establishment of the Latin Empire as a seeming attempt to supplant the Orthodox Byzantine Empire in 1204 is viewed with some rancour to the present day. In 2004, Pope John Paul II extended a formal apology for the sacking of Constantinople in 1204, which had also been strongly condemned by the Pope at the time, Innocent III; the apology was formally accepted by Patriarch Bartholomew of Constantinople. However, many items stolen during this time, such as holy relics and riches, are still held in various European cities, particularly Venice. Reunion was attempted twice, at the 1274 Second Council of Lyon and the 1439 Council of Florence. The Council of Florence briefly reestablished communion between East and West, which lasted until after the fall of Constantinople in 1453. In each case, however, the councils were rejected by the Orthodox people as a whole, and the union of Florence also became very politically difficult after Constantinople came under Ottoman rule. However, in the time since, several local Orthodox Christian churches have renewed union with Rome, known as the Eastern Catholic Churches. Recent decades have seen a renewal of ecumenical spirit and dialogue between the Catholic and Orthodox churches. Greek Church under Ottoman rule The Byzantine Empire never fully recovered from the sack of Constantinople in 1204. Over the next two centuries, it entered a precipitous decline in both territory and influence. In 1453, a much-diminished Byzantine Empire fell to the Ottoman Empire, ending what was once the most powerful state in the Orthodox Christian world, if not in all Christendom. By this time Egypt, another major center of Eastern Christianity, had been under Muslim control for some seven centuries; most Eastern Orthodox communities across southeastern Europe gradually came under Ottoman rule by the 16th century. Under the Ottomans, the Greek Orthodox Church acquired substantial power as an autonomous millet. The ecumenical patriarch was the religious and administrative ruler of the Rûm, an Ottoman administrative unit meaning "Roman", which encompassed all Orthodox subjects of the Empire regardless of ethnicity. While legally subordinate to Muslims and subject to various restrictions, the Orthodox community was generally tolerated and left to govern its own internal affairs, both religiously and legally. Until the empire's dissolution in the early 20th century, Orthodox Christians would remain the largest non-Muslim minority, and at times among the wealthiest and most politically influential. Russian Orthodox Church in the Russian Empire By the time most Orthodox communities came under Muslim rule in the mid 15th century, Orthodoxy was very strong in Russia, which had maintained close cultural and political ties with the Byzantine Empire; roughly two decades after the fall of Constantinople, Ivan III of Russia married Sophia Palaiologina, a niece of the last Byzantine Emperor Constantine XI, and styled himself Tsar ("Caesar") or imperator. In 1547, his grandson Ivan IV, a devout Orthodox Christian, cemented the title as "Tsar of All Rus", establishing Russia's first centralised state with divinely appointed rulers. In 1589, the Patriarchate of Constantinople granted autocephalous status to Moscow, the capital of what was now the largest Orthodox Christian polity; the city thereafter referred to itself as the Third Rome—the cultural and religious heir of Constantinople. Until 1666, when Patriarch Nikon was deposed by the tsar, the Russian Orthodox Church had been independent of the State. In 1721, the first Russian Emperor, Peter I, abolished completely the patriarchate and effectively made the church a department of the government, ruled by a most holy synod composed of senior bishops and lay bureaucrats appointed by the Emperor himself. Over time, Imperial Russia would style itself a protector and patron of all Orthodox Christians, especially those within the Ottoman Empire. For nearly 200 years, until the Bolsheviks' October Revolution of 1917, the Russian Orthodox Church remained, in effect, a governmental agency and an instrument of tsarist rule. It was used to varying degrees in imperial campaigns of Russification, and was even allowed to levy taxes on peasants. The Church's close ties with the state came to a head under Nicholas I (1825-1855), who explicitly made Orthodoxy a core doctrine of imperial unity and legitimacy. The Orthodox faith became further tied to Russian identity and nationalism, while the Church was further subordinated to the interests of the state. Consequently, Russian Orthodox Church, along with the imperial regime to which it belonged, came to be presented as an enemy of the people by the Bolsheviks and other Russian revolutionaries. Eastern Orthodox churches under Communist rule After the October revolution of 1917, part of the clergy of the Russian Orthodox Church fled abroad to escape Bolshevik persecutions, founding an independent church in exile, which reunified with its Russian counterpart in 2007. Some actions against Orthodox priests and believers along with execution included torture, being sent to prison camps, labour camps or mental hospitals. In the first five years after the Bolshevik revolution, 28 bishops and 1,200 priests were executed. After Nazi Germany's attack on the Soviet Union in 1941, Joseph Stalin revived the Russian Orthodox Church to intensify patriotic support for the war effort. By 1957 about 22,000 Russian Orthodox churches had become active. However, in 1959, Nikita Khrushchev initiated his own campaign against the Russian Orthodox Church and forced the closure of about 12,000 churches. It is estimated that 50,000 clergy had been executed between the revolution and the end of the Khrushchev era. Members of the church hierarchy were jailed or forced out, their places taken by docile clergy, many of whom had ties with the KGB. By 1985 fewer than 7,000 churches remained active. Albania was the only state to have declared itself officially fully atheist. In some other Communist states such as Romania, the Romanian Orthodox Church as an organisation enjoyed relative freedom and even prospered, albeit under strict secret police control. That, however, did not rule out demolishing churches and monasteries as part of broader systematisation (urban planning), and state persecution of individual believers. As an example of the latter, Romania stands out as a country which ran a specialised institution where many Orthodox (along with people of other faiths) were subjected to psychological punishment or torture and mind control experimentation in order to force them give up their religious convictions. However, this was only supported by one faction within the regime, and lasted only three years. The Communist authorities closed down the prison in 1952, and punished many of those responsible for abuses (twenty of them were sentenced to death). Post-communism to 21st century Since the collapse of the Soviet Union, and the subsequent fall of communist governments across the Orthodox world, there has been marked growth in Christian Orthodoxy, particularly in Russia. According to the Pew Research Religion & Public Life Project, between 1991 and 2008, the share of Russian adults identifying as Orthodox Christian rose from 31 percent to 72 percent, based on analysis of three waves of data (1991, 1998 and 2008) from the International Social Survey Programme (ISSP), a collaborative effort involving social scientists in about 50 countries. Pew research conducted in 2017 found a doubling in the global Orthodox population since the early 20th century, with the greatest resurgence in Russia. In the former Soviet Union—where the largest Orthodox communities live—self-identified Orthodox Christians generally report low levels of observance and piety: In Russia, only 6% of Orthodox Christian adults reported attending church at least weekly, 15% say religion is "very important" in their lives, and 18% say they pray daily; other former Soviet republics display similarly low levels of religious observance. 1996 and 2018 Moscow–Constantinople schisms Organisation and leadership The Eastern Orthodox Church is a fellowship of autocephalous (Greek for self-headed) churches, with the ecumenical patriarch of Constantinople recognised as having the primus inter pares status. The patriarch of Constantinople has the honor of primacy, but his title is only first among equals and has no real authority over churches other than the Constantinopolitan and set out prerogatives interpreted by the ecumenical patriarch, though at times the office of the ecumenical patriarch has been accused of Constantinopolitan or Eastern papism. The Eastern Orthodox Church considers Jesus Christ to be the head of the church and the church to be his body. It is believed that authority and the grace of God is directly passed down to Orthodox bishops and clergy through the laying on of hands—a practice started by the apostles, and that this unbroken historical and physical link is an essential element of the true Church (Acts 8:17, 1 Tim 4:14, Heb 6:2). The Eastern Orthodox assert that apostolic succession requires apostolic faith, and bishops without apostolic faith, who are in heresy, forfeit their claim to apostolic succession. The Eastern Orthodox communion is organised into several regional churches, which are either autocephalous ("self-headed") or lower-ranking autonomous (the Greek term for "self-governing") church bodies unified in theology and worship. These include the fourteen autocephalous churches of Constantinople, Alexandria, Antioch, Jerusalem, Georgia, Cyprus, Bulgaria, Serbia, Russia, Greece, Poland, Romania, Albania, and the Czech Republic and Slovakia, which were officially invited to the Pan-Orthodox Council of 2016, the Orthodox Church in America formed in 1970, the autocephalous Orthodox Church of Ukraine created in 2019, as well as a number of autonomous churches. Each church has a ruling bishop and a holy synod to administer its jurisdiction and to lead the Eastern Orthodox Church in the preservation and teaching of the apostolic and patristic traditions and church practices. Each bishop has a territory (see) over which he governs. His main duty is to make sure the traditions and practices of the Eastern Orthodox Church are preserved. Bishops are equal in authority and cannot interfere in the jurisdiction of another bishop. Administratively, these bishops and their territories are organised into various autocephalous groups or synods of bishops who gather together at least twice a year to discuss the state of affairs within their respective sees. While bishops and their autocephalous synods have the ability to administer guidance in individual cases, their actions do not usually set precedents that affect the entire Eastern Orthodox Church. Bishops are almost always chosen from the monastic ranks and must remain unmarried. Church councils The ecumenical councils followed a democratic form, with each bishop having one vote. Though present and allowed to speak before the council, members of the Imperial Roman/Byzantine court, abbots, priests, deacons, monks and laymen were not allowed to vote. The primary goal of these great synods was to verify and confirm the fundamental beliefs of the Great Christian Church as truth, and to remove as heresy any false teachings that would threaten the Christian Church. The pope of Rome at that time held the position of primus inter pares ("first among equals") and, while he was not present at any of the councils, he continued to hold this title until the East–West Schism of 1054. Other councils have helped to define the Eastern Orthodox position, specifically the Quinisext Council, the Synods of Constantinople, 879–880, 1341, 1347, 1351, 1583, 1819, and 1872, the Synod of Iași, 1642, and the Pan-Orthodox Synod of Jerusalem, 1672; the Pan-Orthodox Council, held in Greece in 2016, was the only such Eastern Orthodox council in modern times. According to Eastern Orthodox teaching the position of "first among equals" gives no additional power or authority to the bishop that holds it, but rather that this person sits as organisational head of a council of equals (like a president). One of the decisions made by the First Council of Constantinople (the second ecumenical council, meeting in 381) and supported by later such councils was that the Patriarch of Constantinople should be given equal honor to the Pope of Rome since Constantinople was considered to be the "New Rome". According to the third canon of the second ecumenical council: "Because [Constantinople] is new Rome, the bishop of Constantinople is to enjoy the privileges of honor after the bishop of Rome." The 28th canon of the fourth ecumenical council clarified this point by stating: "For the Fathers rightly granted privileges to the throne of Old Rome because it was the royal city. And the One Hundred and Fifty most religious Bishops (i.e. the second ecumenical council in 381) actuated by the same consideration, gave equal privileges to the most holy throne of New Rome, justly judging that the city which is honoured with the Sovereignty and the Senate, and enjoys equal privileges with the old imperial Rome, should in ecclesiastical matters also be magnified as she is." Because of the schism, the Eastern Orthodox no longer recognise the primacy of the pope of Rome. The patriarch of Constantinople therefore, like the Pope before him, now enjoys the title of "first among equals". Adherents The most reliable estimates currently available number Eastern Orthodox adherents at around 220 million worldwide, making Eastern Orthodoxy the second largest Christian communion in the world after the Catholic Church. According to the 2015 Yearbook of International Religious Demography, as of 2010, the Eastern Orthodox population was 4% of the global population, declining from 7.1% in 1910. The study also found a decrease in proportional terms, with Eastern Orthodox Christians making up 12.2% of the world's total Christian population in 2015 compared to 20.4% a century earlier. A 2017 report by the Pew Research Center reached similar figures, noting that Eastern Orthodoxy has seen slower growth and less geographic spread than Catholicism and Protestantism, which were driven by colonialism and missionary activity across the world. Over two-thirds of all Eastern Orthodox members are concentrated in Southern Europe, Eastern Europe and Russia, with significant minorities in Central Asia and the Levant. However, Eastern Orthodoxy has become more globalized over the last century, seeing greater growth in Western Europe, the Americas, and parts of Africa; churches are present in the major cities of most countries. Adherents constitute the largest single religious community in Russia—which is home to roughly half the world's Eastern Orthodox Christians—and are the majority in Ukraine, Romania, Belarus, Greece, Serbia, Bulgaria, Moldova, Georgia, North Macedonia, Cyprus, and Montenegro; communities also dominate the disputed territories of Abkhazia, South Ossetia and Transnistria. Significant Eastern Orthodox minorities exist in Bosnia and Herzegovina, Latvia, Estonia, Kazakhstan, Kyrgyzstan, Lebanon, Albania, Syria, and many other countries. Eastern Orthodox Christianity is the fastest growing religion in certain Western countries, primarily through labor migration from Eastern Europe, and to a lesser degree conversion. Ireland saw a doubling of its Eastern Orthodox population between 2006 and 2011. Spain and Germany have the largest communities in Western Europe, at roughly 1.5 million each, followed by Italy with around 900,000 and France with between 500,000 and 700,000. In the Americas, four countries have over 100,000 Eastern Orthodox Christians: Canada, Mexico, Brazil, and the United States; all but the latter had fewer than 20,000 at the turn of the 20th century. The U.S. has seen its community more than quadruple since 1910, from 460,000 to 1.8 million as of 2017; consequently, the number of Eastern Orthodox parishes has been growing, with a 16% increase between 2000 and 2010. Turkey, which for centuries once had one of the largest Eastern Orthodox communities, saw its overall Christian population fall from roughly one-fifth in 1914 to 2.5% in 1927. This was predominantly due to the dissolution of the Ottoman Empire, which saw most Christian territories become independent nations. The remaining Christian population was reduced further by large-scale genocides against the Armenian, Greek, Assyrian communities; subsequent population exchanges between Greece and Turkey and Bulgaria and Turkey; and associated emigration of Christians to foreign countries (mostly in Europe and the Americas). Today, only 0.2% of Turkey's population represent either Jews or various Christian denominations. Theology Trinity Orthodox Christians believe in the Trinity, three distinct, divine persons (hypostases), without overlap or modality among them, who each have one divine essence (ousia, Greek: οὐσία)—uncreated, immaterial, and eternal. These three persons are typically distinguished by their relation to each other. The Father is eternal and not begotten and does not proceed from any, the Son is eternal and begotten of the Father, and the Holy Spirit is eternal and proceeds from the Father. Orthodox doctrine regarding the Trinity is summarised in the Nicene Creed. Orthodox Christians believe in a monotheistic conception of God (God is only one), which is both transcendent (wholly independent of, and removed from, the material universe) and immanent (involved in the material universe). In discussing God's relationship to his creation, Orthodox theology distinguishes between God's eternal essence, which is totally transcendent, and his uncreated energies, which is how he reaches humanity. The God who is transcendent and the God who touches mankind are one and the same. That is, these energies are not something that proceed from God or that God produces, but rather they are God himself: distinct, yet inseparable from God's inner being. This view is often called Palamism. In understanding the Trinity as "one God in three persons", "three persons" is not to be emphasised more than "one God", and vice versa. While the three persons are distinct, they are united in one divine essence, and their oneness is expressed in community and action so completely that they cannot be considered separately. For example, their salvation of mankind is an activity engaged in common: "Christ became man by the good will of the Father and by the cooperation of the Holy Spirit. Christ sends the Holy Spirit who proceeds from the Father, and the Holy Spirit forms Christ in our hearts, and thus God the Father is glorified." Their "communion of essence" is "indivisible". Trinitarian terminology—essence, hypostasis, etc.—are used "philosophically", "to answer the ideas of the heretics", and "to place the terms where they separate error and truth." The words do what they can do, but the nature of the Trinity in its fullness is believed to remain beyond man's comprehension and expression, a holy mystery that can only be experienced. Sin, salvation, and the incarnation When Eastern Orthodox Christians refer to fallen nature they are not saying that human nature has become evil in itself. Human nature is still formed in the image of God; humans are still God's creation, and God has never created anything evil, but fallen nature remains open to evil intents and actions. It is sometimes said among Orthodox that humans are "inclined to sin"; that is, people find some sinful things attractive. It is the nature of temptation to make sinful things seem the more attractive, and it is the fallen nature of humans that seeks or succumbs to the attraction. Orthodox Christians reject the Augustinian position that the descendants of Adam and Eve are actually guilty of the original sin of their ancestors. Since the fall of man, then, it has been mankind's dilemma that no human can restore his nature to union with God's grace; it was necessary for God to effect another change in human nature. Orthodox Christians believe that Christ Jesus was both God and Man absolutely and completely, having two natures indivisibly: eternally begotten of the Father in his divinity, he was born in his humanity of a woman, Mary, by her consent, through descent of the Holy Spirit. He lived on earth, in time and history, as a man. As a man he also died, and went to the place of the dead, which is Hades. But being God, neither death nor Hades could contain him, and he rose to life again, in his humanity, by the power of the Holy Spirit, thus destroying the power of Hades and of death itself. Through Christ's destruction of Hades' power to hold humanity hostage, he made the path to salvation effective for all the righteous who had died from the beginning of time—saving many, including Adam and Eve, who are remembered in the Church as saints. Resurrection of Christ The Eastern Orthodox Church understands the death and resurrection of Jesus to be real historical events, as described in the gospels of the New Testament. Christian life Church teaching is that Orthodox Christians, through baptism, enter a new life of salvation through repentance whose purpose is to share in the life of God through the work of the Holy Spirit. The Eastern Orthodox Christian life is a spiritual pilgrimage in which each person, through the imitation of Christ and hesychasm, cultivates the practice of unceasing prayer. Each life occurs within the life of the church as a member of the body of Christ. It is then through the fire of God's love in the action of the Holy Spirit that each member becomes more holy, more wholly unified with Christ, starting in this life and continuing in the next. The church teaches that everyone, being born in God's image, is called to theosis, fulfillment of the image in likeness to God. God the creator, having divinity by nature, offers each person participation in divinity by cooperatively accepting His gift of grace. The Eastern Orthodox Church, in understanding itself to be the Body of Christ, and similarly in understanding the Christian life to lead to the unification in Christ of all members of his body, views the church as embracing all Christ's members, those now living on earth, and also all those through the ages who have passed on to the heavenly life. The church includes the Christian saints from all times, and also judges, prophets and righteous Jews of the first covenant, Adam and Eve, even the angels and heavenly hosts. In Orthodox services, the earthly members together with the heavenly members worship God as one community in Christ, in a union that transcends time and space and joins heaven to earth. This unity of the Church is sometimes called the communion of the saints. Virgin Mary and other saints The Eastern Orthodox Church believes death and the separation of body and soul to be unnatural—a result of the Fall of Man. They also hold that the congregation of the church comprises both the living and the dead. All persons currently in heaven are considered to be saints, whether their names are known or not. There are, however, those saints of distinction whom God has revealed as particularly good examples. When a saint is revealed and ultimately recognised by a large portion of the church a service of official recognition (glorification) is celebrated. This does not "make" the person a saint; it merely recognises the fact and announces it to the rest of the church. A day is prescribed for the saint's celebration, hymns composed and icons created. Numerous saints are celebrated on each day of the year. They are venerated (shown great respect and love) but not worshipped, for worship is due God alone (this view is also held by the Oriental Orthodox and Catholic churches). In showing the saints this love and requesting their prayers, the Eastern Orthodox manifest their belief that the saints thus assist in the process of salvation for others. Pre-eminent among the saints is the Virgin Mary (commonly referred to as Theotokos or Bogoroditsa: "Mother of God"). In E. Orthodox theology, the Mother of God is the fulfillment of the Old Testament archetypes revealed in the Ark of the Covenant (because she carried the New Covenant in the person of Christ) and the burning bush that appeared before Moses (symbolizing the Mother of God's carrying of God without being consumed). The Eastern Orthodox believe that Christ, from the moment of his conception, was both fully God and fully human. Mary is thus called the Theotokos or Bogoroditsa as an affirmation of the divinity of the one to whom she gave birth. It is also believed that her virginity was not compromised in conceiving God-incarnate, that she was not harmed and that she remained forever a virgin. Scriptural references to "brothers" of Christ are interpreted as kin, given that the word "brother" was used in multiple ways, as was the term "father". Due to her unique place in salvation history, Mary is honoured above all other saints and especially venerated for the great work that God accomplished through her. The Eastern Orthodox Church regards the bodies of all saints as holy, made such by participation in the holy mysteries, especially the communion of Christ's holy body and blood, and by the indwelling of the Holy Spirit within the church. Indeed, that persons and physical things can be made holy is a cornerstone of the doctrine of the Incarnation, made manifest also directly by God in Old Testament times through his dwelling in the Ark of the Covenant. Thus, physical items connected with saints are also regarded as holy, through their participation in the earthly works of those saints. According to church teaching and tradition, God himself bears witness to this holiness of saints' relics through the many miracles connected with them that have been reported throughout history since biblical times, often including healing from disease and injury. Eschatology Orthodox Christians believe that when a person dies the soul is temporarily separated from the body. Though it may linger for a short period on Earth, it is ultimately escorted either to paradise (Abraham's bosom) or the darkness of Hades, following the Temporary Judgment. Orthodox do not accept the doctrine of Purgatory, which is held by Catholicism. The soul's experience of either of these states is only a "foretaste"—being experienced only by the soul—until the Final Judgment, when the soul and body will be reunited. The Eastern Orthodox believe that the state of the soul in Hades can be affected by the love and prayers of the righteous up until the Last Judgment. For this reason the Church offers a special prayer for the dead on the third day, ninth day, fortieth day, and the one-year anniversary after the death of an Orthodox Christian. There are also several days throughout the year that are set aside for general commemoration of the departed, sometimes including nonbelievers. These days usually fall on a Saturday, since it was on a Saturday that Christ lay in the Tomb. The Eastern Orthodox believe that after the Final Judgment: All souls will be reunited with their resurrected bodies. All souls will fully experience their spiritual state. Having been perfected, the saints will forever progress towards a deeper and fuller love of God, which equates with eternal happiness. Bible The official Bible of the Eastern Orthodox Church contains the Septuagint text of the Old Testament, with the Book of Daniel given in the translation by Theodotion. The Patriarchal Text is used for the New Testament. Orthodox Christians hold that the Bible is a verbal icon of Christ, as proclaimed by the 7th ecumenical council. They refer to the Bible as holy scripture, meaning writings containing the foundational truths of the Christian faith as revealed by Christ and the Holy Spirit to its divinely inspired human authors. Holy scripture forms the primary and authoritative written witness of holy tradition and is essential as the basis for all Orthodox teaching and belief. Once established as holy scripture, there has never been any question that the Eastern Orthodox Church holds the full list of books to be venerable and beneficial for reading and study, even though it informally holds some books in higher esteem than others, the four gospels highest of all. Of the subgroups significant enough to be named, the "Anagignoskomena" (ἀναγιγνωσκόμενα, "things that are read") comprises ten of the Old Testament books rejected in the Protestant canon, but deemed by the Eastern Orthodox worthy to be read in worship services, even though they carry a lesser esteem than the 39 books of the Hebrew canon. The lowest tier contains the remaining books not accepted by either Protestants or Catholics, among them, Psalm 151. Though it is a psalm, and is in the book of psalms, it is not classified as being within the Psalter (the first 150 psalms). In a very strict sense, it is not entirely orthodox to call the holy scripture the "Word of God". That is a title the Eastern Orthodox Church reserves for Christ, as supported in the scriptures themselves, most explicitly in the first chapter of the gospel of John. God's Word is not hollow, like human words. "God said, 'let there be light'; and there was light." The Eastern Orthodox Church does not subscribe to the Protestant doctrine of sola scriptura. The church has defined what Scripture is; it also interprets what its meaning is. Christ promised: "When He, the Spirit of truth, has come, He will guide you into all truth". Scriptures are understood to contain historical fact, poetry, idiom, metaphor, simile, moral fable, parable, prophecy and wisdom literature, and each bears its own consideration in its interpretation. While divinely inspired, the text still consists of words in human languages, arranged in humanly recognisable forms. The Eastern Orthodox Church does not oppose honest critical and historical study of the Bible. Territorial expansion and doctrinal integrity As the church increased in size through the centuries, the logistic dynamics of operating such large entities shifted: patriarchs, metropolitans, archimandrites, abbots and abbesses, all rose up to cover certain points of administration. Liturgy Church calendar Lesser cycles also run in tandem with the annual ones. A weekly cycle of days prescribes a specific focus for each day in addition to others that may be observed. Church services Music and chanting The church has developed eight modes or tones (see Octoechos) within which a chant may be set, depending on the time of year, feast day, or other considerations of the Typikon. There are numerous versions and styles that are traditional and acceptable and these vary a great deal between cultures. Traditions Art and architecture The Archdiocesan Cathedral of the Holy Trinity on New York City's Upper East Side is the largest Orthodox Christian church in the Western Hemisphere. Local customs Locality is also expressed in regional terms of churchly jurisdiction, which is often also drawn along national lines. Many Orthodox churches adopt a national title (e.g. Albanian Orthodox, Bulgarian Orthodox, Antiochian Orthodox, Georgian Orthodox, Greek Orthodox, Romanian Orthodox, Russian Orthodox, Serbian Orthodox, Ukrainian Orthodox, etc.) and this title can identify which language is used in services, which bishops preside, and which of the typica is followed by specific congregations. In the Middle East, Orthodox Christians are usually referred to as Rum ("Roman") Orthodox, because of their historical connection with the Eastern Roman (Byzantine) Empire. Holy mysteries (sacraments) Those things which in the West are often termed sacraments or sacramentals are known among the Eastern Orthodox as the "sacred mysteries". While the Roman Catholic Church numbers seven sacraments, and many Protestant groups list two (baptism and the Eucharist) or even none, the Eastern Orthodox do not limit the number. However, for the sake of convenience, catechisms will often speak of the seven great mysteries. Among these are Holy Communion (the most direct connection), baptism, Chrismation, confession, unction, matrimony, and ordination. But the term also properly applies to other sacred actions such as monastic tonsure or the blessing of holy water, and involves fasting, almsgiving, or an act as simple as lighting a candle, burning incense, praying or asking God's blessing on food. Baptism Baptism is the mystery which transforms the old and sinful person into a new and pure one; the old life, the sins, any mistakes made are gone and a clean slate is given. Through baptism a person is united to the Body of Christ by becoming a member of the Eastern Orthodox Church. During the service, water is blessed. The catechumen 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, the mystery of baptism is administered by bishops and priests; however, in emergencies any E. Orthodox Christian can baptise. Chrismation Chrismation (sometimes called confirmation) is the mystery by which a baptised person is granted the gift of the Holy Spirit through anointing with Holy Chrism. It is normally given immediately after baptism as part of the same service, but is also used to receive lapsed members of the E. Orthodox Church. As baptism is a person's participation in the death and resurrection of Christ, so Chrismation is a person's participation in the coming of the Holy Spirit at Pentecost. A baptised and chrismated E. Orthodox Christian is a full member of the church and may receive the Eucharist regardless of age. The creation of Chrism may be accomplished by any bishop at any time, but usually is done only once a year, often when a synod of bishops convenes for its annual meeting. Some autocephalous churches get their chrism from others. Anointing with it substitutes for the laying-on of hands described in the New Testament, even when an instrument such as a brush is used. Holy Communion (Eucharist) Communion is given only to baptised and chrismated E. Orthodox Christians who have prepared by fasting, prayer and confession. The priest will administer the gifts with a spoon, called a "cochlear", directly into the recipient's mouth from the chalice. From baptism young infants and children are carried to the chalice to receive holy communion. Repentance (Confession) Marriage From the Orthodox perspective, marriage is one of the holy mysteries or sacraments. As well as in many other Christian traditions, for example in Catholicism, it serves to unite a woman and a man in eternal union and love before God, with the purpose of following Christ and his Gospel and raising up a faithful, holy family through their holy union. The church understands marriage to be the union of one man and one woman, and certain Orthodox leaders have spoken out strongly in opposition to the civil institution of same-sex marriage. Jesus said that "when they rise from the dead, they neither marry nor are given in marriage, but are like angels in heaven" (Mk 12:25). For the Orthodox Christian this passage should not be understood to imply that Christian marriage will not remain a reality in the Kingdom, but points to the fact that relations will not be "fleshy", but "spiritual". Love between wife and husband, as an icon of relationship between Christ and Church, is eternal. The church does recognise that there are rare occasions when it is better that couples do separate, but there is no official recognition of civil divorces. For the E. Orthodox, to say that marriage is indissoluble means that it should not be broken, the violation of such a union, perceived as holy, being an offense resulting from either adultery or the prolonged absence of one of the partners. Thus, permitting remarriage is an act of compassion of the church towards sinful man. Holy orders Widowed priests and deacons may not remarry and it is common for such members of the clergy to retire to a monastery (see clerical celibacy). This is also true of widowed wives of clergy, who do not remarry and become nuns when their children are grown. Only men are allowed to receive holy orders, although deaconesses had both liturgical and pastoral functions within the church. In 2016, the Patriarchate of Alexandria decided to reintroduce the order of deaconess. In February 2017, Patriarch Theodoros II consecrated five women to be deacons within the Patriarchate of Alexandria. Unction Interfaith relations Relations with other Christians In 1920, the Ecumenical Patriarchate of Constantinople, published an encyclical "addressed 'To all the Churches of Christ, wherever they may be', urging closer co-operation among separated Christians, and suggesting a 'League of Churches', parallel to the newly founded League of Nations". This gesture was instrumental in the foundation of the World Council of Churches (WCC); as such, almost all Eastern Orthodox churches are members of the WCC and "Orthodox ecclesiastics and theologians serve on its committees". Kallistos Ware, a British metropolitan bishop of the Orthodox Church, has stated that ecumenism "is important for Orthodoxy: it has helped to force the various Orthodox churches out of their comparative isolation, making them meet one another and enter into a living contact with non-Orthodox Christians." Hilarion Alfeyev, Metropolitan of Volokolamsk and head of external relations for the Moscow Patriarchate of the Russian Orthodox Church, stated that Orthodox and Evangelical Protestant Christians share the same positions on "such issues as abortion, the family, and marriage" and desire "vigorous grassroots engagement" between the two Christian communions on such issues. In that regard, the differences between the Catholic and Eastern Orthodox communions have not been improved in any relevant way. Dogmatic and liturgical polarities have been significant, even and especially in recent times. A pertinent point of contention between the monarchically papal, administratively centralised Catholic Church and the decentralised confederation of Orthodox churches is the theological significance of the Virgin Mary. During his visit to Georgia in October 2016, Pope Francis was snubbed by most Orthodox Christians as he led mass before a practically empty Mikheil Meskhi Stadium in Tbilisi. The Oriental Orthodox churches are not in communion with the Eastern Orthodox Church, despite their similar names. Slow dialogue towards restoring communion between the two churches began in the mid-20th century, and, notably, in the 19th century, when the Greek Patriarch in Egypt had to absent himself from the country for a long period of time; he left his church under the guidance of the Coptic Pope Cyril IV of Alexandria. In 2019, the Primate of the OCU Metropolitan of Kyiv and All Ukraine Epiphanius stated that "theoretically" the Orthodox Church of Ukraine and the Ukrainian Greek Catholic Church could in the future unite into a united church around the Kyiv throne. In 2019, the Primate of the UGCC, Major Archbishop of Kyiv-Galicia Sviatoslav, stated that every effort should be made to restore the original unity of the Kyivan Church in its Orthodox and Catholic branches, saying that the restoration of Eucharistic communion between Rome and Constantinople is not a utopia. Notwithstanding certain overtures by both Catholic and Orthodox leaders, the majority of Orthodox Christians, as well as Catholics, are not in favor of communion between their churches, with only a median of 35 percent and 38 percent, respectively, claiming support. Relations with Islam According to Bat Ye'or, Christians under Islamic rule were denied equality of rights since they were forced to pay the jizya poll tax. In 2007, Metropolitan Alfeyev expressed the possibility of peaceful coexistence between Islam and Christianity in Russia, as the two religions have never had religious wars in Russia. Present The various autocephalous and autonomous synods of the E. Orthodox Church are distinct in terms of administration and local culture, but for the most part exist in full communion with one another. In addition, some schismatic churches not in any communion, with all three groups identifying as Eastern Orthodox. Another groups are referred True Orthodoxy or Old Calendarists; they are those who, without authority from their parent churches, have continued to use the old Julian calendar, and split from their parent church. The Russian Orthodox Church Outside Russia (ROCOR) has united in 2007 with the Moscow Patriarchate; these two churches had separated from each other in the 1920s due to the subjection of the latter to the hostile Soviet regime. Another group called the Old Believers, separated in 1666 from the official Russian Orthodox Church as a protest against church rite reforms introduced by Patriarch Nikon of Moscow. Main communion The Eastern Orthodox Church is a communion of 14 autocephalous—that is, administratively completely independent—regional churches, plus the Orthodox Church in America and the Orthodox Church of Ukraine. The Orthodox Church in America is recognised as autocephalous only by the Russian, Bulgarian, Georgian, Polish and Czech-Slovak churches. In December 2018, representatives of two unrecognized Ukrainian Orthodox churches, along with two metropolitans of the recognized, but not autocephalous Ukrainian Orthodox Church of the Moscow Patriarchate, proclaimed the formation of the unified Orthodox Church of Ukraine. On 5 January 2019, the Orthodox Church of Ukraine received its tomos of autocephaly (decree which defines the conditions of a church's independence) from the Ecumenical Patriarchate and thus received a place in the diptych. Each church has defined geographical boundaries of its jurisdiction and is ruled by its council of bishops or synod presided by a senior bishop–its primate (or first hierarch). The primate may carry the honorary title of patriarch, metropolitan (in the Slavic tradition) or archbishop (in the Greek tradition). Each regional church consists of constituent eparchies (or dioceses) ruled by a bishop. Some churches have given an eparchy or group of eparchies varying degrees of autonomy (self-government). Such autonomous churches maintain varying levels of dependence on their mother church, usually defined in a tomos or other document of autonomy. Below is a list of the 14 autocephalous Orthodox churches forming the main body of Orthodox Christianity, all of which are titled equal to each other, but the Ecumenical Patriarchate is titled the first among equals. Based on the definitions, the list is in the order of precedence and alphabetical order where necessary, with some of their constituent autonomous churches and exarchates listed as well. The liturgical title of the primate is in italics. Ecumenical Patriarchate of Constantinople (Archbishop of Constantinople-New Rome and First Among Equals Patriarch) Greek Orthodox Archdiocese of Italy (Orthodox Archbishop of Italy and Malta) Autonomous Orthodox Church of Finland (Archbishop of Helsinki and All Finland, formerly Archbishop of Karelia and All Finland) Self-governing Orthodox Church of Crete (Archbishop of Crete) Self-governing monastic community of Mount Athos Self-governing Orthodox Church of Korea (Metropolitan of Seoul and All Korea) Eparchy of the Ukrainian Orthodox Church of Canada Eparchy of the Ukrainian Orthodox Church of the USA Eparchy of the Greek Orthodox Archdiocese of America Eparchy of the Exarchate of the Philippines Eparchy of the American Carpatho-Russian Orthodox Diocese Patriarchate of Alexandria (the Pope and Patriarch of the Great City of Alexandria, Libya, Pentapolis, Ethiopia, all the land of Egypt, and all Africa) Patriarchate of Antioch (Patriarch of Antioch and all the East) Self-governing Antiochian Orthodox Christian Archdiocese of North America (Archbishop of New York and Metropolitan of All North America) Self-governing Antiochian Orthodox Archdiocese of Australia, New Zealand, and All Oceania (Metropolitan Archbishop of Australia, New Zealand and the Philippines) Patriarchate of Jerusalem (Patriarch of the Holy City of Jerusalem and all Holy Land, Syria, Arabia, beyond the Jordan River, Cana of Galilee, and Sacred Zion) Autonomous Church of Mount Sinai (Archbishop of Choreb, Sinai, and Raitha) Russian Orthodox Church (Patriarch of Moscow and all Russia) Autonomous Orthodox Church in Japan (Archbishop of Tokyo and Metropolitan of All Japan) Exarchate of Belarus (Metropolitan of Minsk and Slutsk, Patriarchal Exarch of All Belarus) Self-governing Russian Orthodox Church Outside Russia (Metropolitan of Eastern America and New York, First Hierarch of the Russian church abroad) Self-governing Orthodox Church of Latvia (Metropolitan of Riga and all Latvia) Serbian Orthodox Church (Archbishop of Peć, Metropolitan of Belgrade and Karlovci, and Serbian Patriarch) Autonomous Orthodox Ohrid Archbishopric (Archbishop of Ohrid and Metropolitan of Skopje) Bulgarian Orthodox Church (Metropolitan of Sofia and Patriarch of All Bulgaria) Romanian Orthodox Church (Archbishop of Bucharest, Metropolitan of Muntenia and Dobrudja, Locum Tenens of the Throne of Caesarea of Cappadocia, and Patriarch of Romania) Autonomous Romanian Orthodox Metropolis of the Americas (Romanian Orthodox Archbishop of the United States of America and Romanian Orthodox Metropolitan of the Americas) Georgian Orthodox Church (Catholicos-Patriarch of All Georgia, the Archbishop of Mtskheta-Tbilisi and Metropolitan bishop of Abkhazia and Pitsunda) Church of Cyprus (Archbishop of New Justiniana and all Cyprus) Church of Greece (Archbishop of Athens and all Greece) Orthodox Church of Albania (Archbishop of Tirana, Durres and all Albania) Polish Orthodox Church (Metropolitan of Warsaw and all Poland or Archbishop of Warsaw and Metropolitan of All Poland) Orthodox Church of the Czech Lands and Slovakia (Archbishop of Prague, the Metropolitan of Czech lands and Slovakia or the Archbishop of Presov, the Metropolitan of Czech lands and Slovakia) Within the main body of Eastern Orthodoxy there are unresolved internal issues as to the autonomous or autocephalous status or legitimacy of the following Orthodox churches, particularly between those stemming from the Russian Orthodox or Constantinopolitan churches: Orthodox Church in America (Archbishop of Washington, Metropolitan of All America and Canada) – Not recognised by the Ecumenical Patriarchate. Self-governing Estonian Apostolic Orthodox Church (Metropolitan of Tallinn and all Estonia) – Recognised only by the Ecumenical Patriarchate, opposed only by the Russian Orthodox Church. Self-governing Estonian Orthodox Church of the Moscow Patriarchate (Metropolitan of Tallinn and all Estonia) – Not recognised by the Ecumenical Patriarchate. Autonomous Bessarabian Orthodox Church in Moldova (Archbishop of Chișinău, Metropolitan of Bessarabia and Exarch of the Territories) of the Romanian Orthodox Church – Territory claimed by the Russian Orthodox Church. Autonomous Moldovan Orthodox Church (Metropolitan of Chișinău and all Moldova) of the Russian Orthodox Church – Jurisdiction disputed by the Romanian Orthodox Church. Self-governing Ukrainian Orthodox Church (Moscow Patriarchate) (Metropolitan of Kyiv and all Ukraine) – Not recognised by the Ecumenical Patriarchate, Church of Greece, Church of Cyprus, and Patriarchate of Alexandria, as of October 2020. Orthodox Church of Ukraine (Metropolitan of Kyiv and All Ukraine) – Recognised by the Ecumenical Patriarchate, Church of Greece, Church of Cyprus, and Patriarchate of Alexandria as of October 2020, opposed by the Russian, Antiochian, Czech and Slovak, Serbian and Polish Orthodox Churches, and the Orthodox Church in America. Traditionalist groups True Orthodox True Orthodoxy has been separated from the mainstream communion over issues of ecumenism and calendar reform since the 1920s. The movement rejects the Ecumenical Patriarchate of Constantinople, the Moscow Patriarchate, and all churches which are in communion with them, accusing them of heresy and placing themselves under bishops who do the same thing. They adhere to the use of the Julian calendar, claiming that the calendar reform in the 1920s is in contradiction with the ecumenical councils. There is no official communion of True Orthodox. They often are local groups and are limited to a specific bishop or locality. Old calendarists Old Believers Old Believers are groups which do not accept the liturgical reforms which were carried out within the Russian Orthodox Church by Patriarch Nikon of Moscow in the 17th century. Although all of the groups of Old Believers emerged as a result of opposition to the Nikonian reforms, they do not constitute a single monolithic body. Despite their emphasis on invariable adherence to the pre-Nikonian traditions, the Old Believers feature a great diversity of groups which profess different interpretations of church tradition and they are often not in communion with each other (some groups even practise re-baptism before admitting a member of another group into their midst). Churches not in communion with other churches Churches with irregular or unresolved canonical status are entities that have carried out episcopal consecrations outside of the norms of canon law or whose bishops have been excommunicated by one of the 14 autocephalous churches. These include nationalist and other schismatic bodies such as the Abkhazian Orthodox Church. See also Byzantine art Byzantine literature Byzantine dress Byzantine music Chalcedonian Christianity Christianization of Bulgaria Ecclesiastical differences between the Catholic Church and the Eastern Orthodox Church Theological differences between the Catholic Church and the Eastern Orthodox Church Emanation (Eastern Orthodoxy) Greek Orthodox Christianity in Lebanon History of Christianity History of Christian theology History of Eastern Orthodox Christian theology Interparliamentary Assembly on Orthodoxy Moscow–Constantinople schism (2018) Timeline of Orthodoxy in Greece (33–717) Notes References Citations Sources (Introduction by C. S. Lewis) Tertiary reference works Further reading Krindatch, Alexei D. ed., Atlas of American Orthodox Christian Churches (Holy Cross Orthodox Press, 2011) online. Scouteris, Constantine, A Brief Outline of the Orthodox Church, Ἐκκλησιαστικός Φάρος, 65 (2004), pp. 60–75. External links An Online Orthodox Catechism published by the Russian Orthodox Church OrthodoxWiki Orthodox Dictionary at Kursk Root Hermitage of the Birth of the Most Holy Theotokos Orthodox books – Lives of Holy People at skete.com An Orthodox View of Salvation IV Pre-Conciliar Pan-Orthodox Conference Orthodox Icons and Paintings Prologue from Ohrid – (Saints of the Orthodox Church Calendar) A repository with scientific papers on various aspects of the Byzantine Orthodox Church in English and in German IOCC: Gaza's Orthodox Community Struggles to Endure Relations between the Catholic Church and the Orthodox Church Pope Benedict XIV, Allatae Sunt (On the observance of Oriental Rites), Encyclical, 1755 Orientale Lumen – Apostolic Letter of Pope John Paul II on the Eastern Churches, 1995 Common Declaration of Pope Benedict XVI and the Ecumenical Patriarch Bartholomew I, 2006 Christian organizations established in the 1st century
10191
https://en.wikipedia.org/wiki/Edo
Edo
Edo (), also romanized as Jedo, Yedo or Yeddo, is the former name of Tokyo. Edo, formerly a jōkamachi (castle town) centered on Edo Castle located in Musashi Province, became the de facto capital of Japan from 1603 as the seat of the Tokugawa shogunate. Edo grew to become one of the largest cities in the world under the Tokugawa. After the Meiji Restoration in 1868 the Meiji government renamed Edo as Tokyo (, "Eastern Capital") and relocated the Emperor from the historic capital of Kyoto to the city. The era of Tokugawa rule in Japan from 1603 to 1868 is known eponymously as the Edo period. History Before Tokugawa Before the 10th century, there is no mention of Edo in historical records, but for a few settlements in the area. Edo first appears in the Azuma Kagami chronicles, that name for the area being probably used since the second half of the Heian period. Its development started in late 11th century with a branch of the called the , coming from the banks of the then-Iruma River, present day upstream of Arakawa river. A descendant of the head of the Chichibu clan settled in the area and took the name , likely based on the name used for the place, and founded the Edo clan. Shigetsugu built a fortified residence, probably around the tip of the Musashino terrace, which would become the Edo castle. Shigetsugu's son, , took the Taira's side against Minamoto no Yoritomo in 1180 but eventually surrendered to Minamoto and became a gokenin for the Kamakura shogunate. At the fall of the shogunate in the 14th century, the Edo clan took the side of the Southern court, and its influence declined during the Muromachi period. In 1456, a vassal of the Ōgigayatsu branch of the Uesugi clan, started to build a castle on the former fortified residence of the Edo clan and took the name Ōta Dōkan. Dōkan lived in this castle until his assassination in 1486. Under Dōkan, with good water connections to Kamakura, Odawara and other parts of Kanto and the country, Edo expanded in a jokamachi, with the castle bordering a cove opening into Edo Bay (current Hibiya Park) and the town developing along the Hirakawa River that was flowing into the cove, as well as the stretch of land on the eastern side of the cove (roughly where current Tokyo Station is) called . Some priests and scholars fleeing Kyoto after the Ōnin War came to Edo during that period. After the death of Dōkan, the castle became one of strongholds of the Uesugi clan, which fell to the Later Hōjō clan at the battle of Takanawahara in 1524, during the expansion of their rule over the Kantō area. When the Hōjō clan was finally defeated by Toyotomi Hideyoshi in 1590, the Kanto area was given to rule to Toyotomi's senior officer Tokugawa Ieyasu, who took his residence in Edo. Tokugawa era Tokugawa Ieyasu emerged as the paramount warlord of the Sengoku period following his victory at the Battle of Sekigahara in October 1600. He formally founded the Tokugawa shogunate in 1603 and established his headquarters at Edo Castle. Edo became the center of political power and de facto capital of Japan, although the historic capital of Kyoto remained the de jure capital as the seat of the emperor. Edo transformed from a fishing village in Musashi Province in 1457 into the largest metropolis in the world with an estimated population of 1,000,000 by 1721.Edo was repeatedly and regularly devastated by fires, the Great fire of Meireki in 1657 being the most disastrous, with an estimated 100,000 victims and a vast portion of the city completely burnt. At the time, the population of Edo was around 300,000, and the impact of the fire was tremendous. The fire destroyed the central keep of Edo Castle, which was never rebuilt, and it influenced the urban planning afterwards to make the city more resilient with many empty areas to break spreading fires and wider streets. Reconstruction efforts expanded the city east of the Sumida River, and some daimyō residences were relocated to give more space to the city, especially in the direct vicinity of the shogun's residence, giving birth to a large green space beside the castle, present-day Fukiage gardens of the Imperial Palace. During the Edo period, there were about 100 major fires mostly begun by accident and often quickly escalating and spreading through neighborhoods of wooden nagaya which were heated with charcoal fires. In 1868, the Tokugawa shogunate was overthrown in the Meiji Restoration by supporters of Emperor Meiji and his Imperial Court in Kyoto, ending Edo's status as the de facto capital of Japan. However, the new Meiji government soon renamed Edo to Tōkyō (東京, "Eastern Capital") and the city became the formal capital of Japan when the emperor moved his residence to the city. Urbanism Very quickly after its inception, the shogunate undertook major works in Edo that drastically changed the topography of the area, notably under the nationwide program of major civil works involving the now pacified daimyō workforce. The Hibiya cove facing the castle was soon filled after the arrival of Ieyasu, the Hirakawa river was diverted, and several protective moats and logistical canals were dug (including the Kanda river), to limit the risks of flooding. Landfill works on the bay began, with several areas reclaimed during the duration of the shogunate (notably the Tsukiji area). East of the city and of the Sumida River, a massive network of canals was dug. Fresh water was a major issue, as direct wells would provide brackish water because of the location of the city over an estuary. The few fresh water ponds of the city were put to use, and a network of canals and underground wooden pipes bringing freshwater from the western side of the city and the Tama River was built. Some of this infrastructure was used until the 20th century. General layout of the city The city was laid out as a castle town around Edo Castle, which was positioned at the tip of the Musashino terrace. The area in the immediate proximity of the castle consisted of samurai and daimyō residences, whose families lived in Edo as part of the sankin-kōtai system; the daimyō made journeys in alternating years to Edo and used the residences for their entourages. The location of each residence was carefully attributed depending on their position as tozama, shinpan or fudai. It was this extensive organization of the city for the samurai class which defined the character of Edo, particularly in contrast to the two major cities of Kyoto and Osaka, neither of which were ruled by a daimyō or had a significant samurai population. Kyoto's character was defined by the Imperial Court, the court nobles, its Buddhist temples and its history; Osaka was the country's commercial center, dominated by the chōnin or the merchant class. On the contrary, the samurai and daimyō residences occupied up to 70% of the area of Edo. On the east and northeast sides of the castle lived the including the chōnin in a much more densely populated area than the samurai class area, organized in a series of gated communities called machi (町, "town" or "village"). This area, Shitamachi (下町, "lower town" or "lower towns"), was the center of urban and merchant culture. Shomin also lived along the main roads leading in and out of the city. The Sumida River, then called the Great River (大川, Ōkawa), ran on the eastern side of the city. The shogunate's official rice-storage warehouses and other official buildings were located here. The marked the center of the city's commercial center and the starting point of the gokaidō (thus making it the de facto "center of the country"). Fishermen, craftsmen and other producers and retailers operated here. Shippers managed ships known as tarubune to and from Osaka and other cities, bringing goods into the city or transferring them from sea routes to river barges or land routes. The northeastern corner of the city was considered dangerous in the traditional onmyōdō cosmology and was protected from evil by a number of temples including Sensō-ji and Kan'ei-ji, one of the two tutelary Bodaiji temples of the Tokugawa. A path and a canal, a short distance north of Sensō-ji, extended west from the Sumida riverbank leading along the northern edge of the city to the Yoshiwara pleasure district. Previously located near Ningyōchō, the district was rebuilt in this more remote location after the great fire of Meireki. Danzaemon, the hereditary position head of eta, or outcasts, who performed "unclean" works in the city resided nearby. Temples and shrines occupied roughly 15% of the surface of the city, equivalent to the living areas of the townspeople, with however an average of 1/10th of its population. Temples and shrines were spread out over the city. Besides the large concentration in the northeast side to protect the city, the second Bodaiji of the Tokugawa, Zōjō-ji occupied a large area south of the castle. Housing Military caste The samurai and daimyōs residences varied dramatically in size depending on their status. Some daimyōs could have several residences in Edo. The , was the main residence while the lord was in Edo and was used for official duties. It was not necessarily the largest of his residences, but the most convenient to commute to the castle. The , a bit further from the castle, could house the heir of the lord, his servants from his fief when he was in Edo for the sankin-kotai, or be a hiding residence if needed. The , if there was any, was on the outskirts of town, more of a pleasure retreat with gardens. The lower residence could also be used as a retreat for the lord if a fire had devastated the city. Some of the powerful daimyōs residences occupied vast grounds of several dozens of hectares. Shonin In a strict sense of the word, chōnin were only the townspeople who owned their residence, which was actually a minority. The shonin population mainly lived in semi-collective housings called , multi-rooms wooden dwellings, organized in enclosed , with communal facilities, such as wells connected to the city's fresh water distribution system, garbage collection area and communal bathrooms. A typical machi was of rectangular shape and could have a population of several hundreds. The machi had curfew for the night with closing and guarded gates called opening on the in the machi. Two floor buildings and larger shops, reserved to the higher-ranking members of the society, were facing the main street. A machi would typically follow a grid pattern and smaller streets, , were opening on the main street, also with (sometimes) two-floor buildings, shop on the first floor, living quarter on the second floor, for the more well-off residents. Very narrow streets accessible through small gates called , would enter deeper inside the machi, where single floor nagayas, the were located. Rentals and smaller rooms for lower ranked shonin were located in those back housings. Edo was nicknamed the , depicting the large number and diversity of those communities, but the actual number was closer to 1,700 by the 18th century. Government and administration Edo's municipal government was under the responsibility of the rōjū, the senior officials which oversaw the entire bakufu – the government of the Tokugawa shogunate. The administrative definition of Edo was called . The Kanjō-bugyō (finance commissioners) were responsible for the financial matters of the shogunate, whereas the Jisha-Bugyō handled matters related to shrines and temples. The were samurai (at the very beginning of the shogunate daimyōs, later hatamoto) officials appointed to keep the order in the city, with the word designating both the heading magistrate, the magistrature and its organization. They were in charge of Edo's day-to-day administration, combining the role of police, judge and fire brigade. There were two offices, the South Machi-Bugyō and the North Machi-Bugyō, which had the same geographical jurisdiction in spite of their name but rotated roles on a monthly basis. Despite their extensive responsibilities, the teams of the Machi-Bugyō were rather small, with 2 offices of 125 people each. The Machi-Bugyō did not have jurisdiction over the samurai residential areas, which remained under the shogunate direct rule. The geographical jurisdiction of the Machi-Bugyō did not exactly coincide with the Gofunai, creating some complexity on the handling on the matters of the city. The Machi-bugyō oversaw the numerous Machi where shonin lived through representatives called . Each Machi had a Machi leader called , who reported to a who himself was in charge of several Machis. See also Edo society Fires in Edo 1703 Genroku earthquake Edokko (native of Edo) History of Tokyo Iki (a Japanese aesthetic ideal) Asakusa Notes References Forbes, Andrew; Henley, David (2014). 100 Famous Views of Edo. Chiang Mai: Cognoscenti Books. ASIN: B00HR3RHUY Gordon, Andrew. (2003). A Modern History of Japan from Tokugawa Times to the Present. Oxford: Oxford University Press. / (cloth); /. Ponsonby-Fane, Richard. (1956). Kyoto: the Old Capital, 794–1869. Kyoto: Ponsonby Memorial Society. Sansom, George. (1963). A History of Japan: 1615–1867. Stanford: Stanford University Press. /. Akira Naito (Author), Kazuo Hozumi. Edo, the City that Became Tokyo: An Illustrated History. Kodansha International, Tokyo (2003). Alternate spelling from 1911 Encyclopædia Britannica article. External links A Trip to Old Edo Fukagawa Edo Museum Map of Bushū Toshima District, Edo from 1682 Edo period History of Tokyo Populated places established in the 1450s 1457 establishments in Asia 1450s establishments in Japan 1868 disestablishments in Japan
10204
https://en.wikipedia.org/wiki/Elihu%20Yale
Elihu Yale
Elihu Yale (5 April 1649 – 8 July 1721) was a British-American colonial administrator and philanthropist. He served as President of the British East India Company settlement in Fort St. George, at Madras. He is best remembered as the primary benefactor of Yale College (now Yale University), which was named in his honor. Early life Born in Boston, Massachusetts, to David Yale (1613–1690) and Ursula Knight, he was the grandson of Ann Lloyd (1591–1659), who after the death of her first husband, Thomas Yale (1587–1619) in Chester, Cheshire, England, married Governor Theophilus Eaton (1590–1658) of New Haven Colony. Yale's ancestry and name can be traced back to the family estate at Plas yn Iâl ("Iâl" is anglicized as "Yale"), north Wales. The Yale family left Boston and returned to England when Elihu was three years old and he grew up and went to school in London. He never set foot in America again. Asia For 20 years Yale served the Honourable East India Company. In 1684 he became the first president of Fort St. George, the company's post at Madras (now Chennai), India. He succeeded a number of agents from Andrew Cogan to William Gyfford. Yale was instrumental in the development of the Government General Hospital, housed at Fort St. George. Yale amassed a fortune while working for the company, largely through secret contracts with Madras merchants, against the East India Company's directive. By 1692, his repeated flouting of East India Company regulations and growing embarrassment at his illegal profiteering resulted in his being relieved of the post of governor. Tenure as President of Madras Elihu Yale was re-appointed as president of the administration of Fort St George on 26 July 1687. He then implemented an order dated 14 January 1685 which required the English at Fort St George to make all attempts at procurement of the town of St Thome on lease. To this effect, Chinna Venkatadri was sent to negotiate with the local governor on 4 August 1687. The mission was successful and Chinna Venkatadri assumed sovereignty over St Thome for a period of three years. Notwithstanding the vehement protests of the Portuguese inhabitants of St Thome, the English gained absolute control over all lands up to St Thomas Mount for a period of three years. In September 1688, the Mughal Emperor Aurangazeb took Golconda after a prolonged battle. The Mughals took the Sultan of Golconda prisoner and annexed the state. The newly designated Mughal Subedar of the province immediately sent a letter to the British authorities at Fort St George demanding that the English at Madras acknowledge the overlordship of the Mughal Emperor. The English complied willingly. Aurangazeb guaranteed the independence of Madras, but in return demanded that the English supply troops in the event of a war against the Marathas. It was around this time that Yale's three-year-old son David Yale died and was interred in the Madras cemetery. The records of this period mention a flourishing slave trade in Madras. After English merchants began to kidnap young children and deport them to distant parts of the world, the administration of Fort St George stepped in and introduced laws to curb the practice. On February 2, 1688, Elihu Yale decreed that henceforth, slaves should be examined by the judges of the choultry before being transported. Transportation of young children, in particular, was made unlawful. Beyond this, the nature of Yale's involvement in the slave trade remains disputed. A blog post by a Yale history PhD candidate and manager of the Yale Slavery and Abolition Portal notes that he permitted a law that at least ten slaves should be carried on every ship bound for Europe and in his capacity as judge he also on several occasions sentenced so-called "black criminals" to whipping and enslavement. On the other hand, according to Steven Pincus, a former Yale professor of history and current professor at the University of Chicago, Yale was never a slave trader and never owned slaves — and in fact opposed the slave trade during his time as governor of Madras. During Yale's presidency, a plan for setting up a corporation in Madras was conceived by Josiah Child, the Governor of the East India Company, in a letter addressed to the factors at Madras on 28 September 1687. Three months later, Josiah Child and his deputy had an audience with James II, and as per the ensuing discussions, a Charter was issued by the king on 30 December 1687 which established the Corporation of Madras. The charter came into effect on 29 September 1688, and a Corporation was established comprising a Mayor, 12 Aldermen, 60-100 Burgesses and sergeants. Nathaniel Higginson, who was then the second member of the Council of Fort St George took office as the Mayor of Madras. In August 1689, a French fleet appeared near the coast of Ceylon compelling the Governor of Pulicat Lawrence Pitt who was on high seas to seek protection within the bastions of Fort St George. Throughout the year 1690, French naval ships from Pondicherry ravaged the coast in order to drive the English and the Dutch out of the East Indies but were unsuccessful. They eventually withdrew from their enterprise when faced with heavy losses. It was also during this time that the English purchased the town of Tegnapatnam from the Marathas. Scandal After Jacques de Paiva's death in 1687, Elihu Yale fell in love with his widow Hieronima de Paiva and brought her to live with him, causing quite a scandal within Madras’ colonial society. Elihu Yale and Hieromima de Paiva had a son. The son died in South Africa. Accusations of corruption and removal As president of Fort St. George, Yale purchased territory for private purposes with East India Company funds, including a fort at Devanampattinam (now Cuddalore). Yale imposed high taxes for the maintenance of the colonial garrison and town, resulting in an unpopular regime and several revolts by Indians, brutally quelled by garrison soldiers. Yale was also notorious for arresting and trying Indians on his own private authority, including the hanging of a stable boy who had absconded with a Company horse. Charges of corruption were brought against Elihu Yale in the last years of his presidency. He was eventually removed in 1692 and replaced with Nathaniel Higginson as the President of Madras. Return to Britain Yale returned to Britain in 1699. He spent the rest of his life at Plas Grono, a mansion in Wales bought by his father, or at his house in London, spending liberally the considerable wealth he had accumulated. Marriage Elihu Yale married Catherine Hynmers in 1680, widow of Joseph Hynmers, 2nd-in-command of Fort St. George, India as Deputy Governor for the East india company. The wedding took place at St. Mary's Church, at Fort St. George, where Yale was a vestryman and treasurer. The marriage was the first registered at the church. They had 4 children together. David Yale (died 1687), died young. Katherine Yale (died 1715) married Dudley North (politician, born 1684) of Glemham Hall, son of Sir Dudley North of Camden Place, and Anne Cann, daughter of Sir Robert Cann, 1st Baronet of Compton Greenfield, Gloucestershire. He was a cousin of Francis North, 1st Earl of Guilford of Wroxton Abbey and a grandson of Anne Montagu of Boughton House, member of the House of Montagu. Their daughter Anne North would marry Nicholas Herbert, member of the Herbert family, son of the 8th Earl of Pembroke, Thomas Herbert of Wilton House and his first wife, Margaret Sawyer of Highclere Castle while one of their sons, William Dudley North, would marry Lady Barbara Herbert, daughter of Thomas and his second wife, Barbara Herbert, Countess of Pembroke. Anne Yale (died 1734), married Lord James Cavendish (MP for Derby) of Staveley Hall, member of the Cavendish family, son of William Cavendish, 1st Duke of Devonshire of Chatsworth House and Lady Mary Butler, member of the Butler dynasty and daughter of James Butler, 1st Duke of Ormonde of Kilkenny Castle. He was also a grandson of Countess Elizabeth Cecil of Hatfield House and a nephew of John Cecil, 5th Earl of Exeter of Burghley House. Ursula Yale (died 1721), died childless at Latimer House , the house was rented by Elihu Yale from his son-in-law Lord James Cavendish (MP for Derby), husband of Anne Yale , and is burried in the small church on the estate, St Mary Magdalene. Death Yale died on 8 July 1721 in London, but was buried in the churchyard of the parish church of St Giles’ Church, Wrexham, Wales. His tomb is inscribed with these lines: In Boston, Massachusetts, a tablet to Yale was erected in 1927 at Scollay Square, near the site of Yale's birth. Yale president Arthur Twining Hadley penned the inscription, which reads: "On Pemberton Hill, 255 Feet North of This Spot, Was Born on April Fifth 1649 Elihu Yale, Governor of Madras, Whose Permanent Memorial in His Native Land is the College That Bears His Name." Yale University In 1718, Cotton Mather contacted Yale and asked for his help. Mather represented a small institution of learning that had been founded in 1701 in Old Saybrook, Connecticut, as the Collegiate School of Connecticut, which needed money for a new building. Yale sent Mather 417 books, a portrait of King George I, and nine bales of goods. These last were sold by the school for £800 pound sterling. In gratitude, officials named the new building Yale; eventually the entire institution became Yale College. Yale was also a vestryman and treasurer of St. Mary's Church at Fort St. George. On 6 October 1968, the 250th anniversary of the naming of Yale College for Elihu Yale, the classmates of Chester Bowles, then the American ambassador to India and a graduate of Yale (1924), donated money for lasting improvements to the church and erected a plaque to commemorate the occasion. In 1970 a portrait of him, Elihu Yale seated at table with the Second Duke of Devonshire and Lord James Cavendish was donated to the Yale Center for British Art from Chatsworth House. On 5 April 1999, Yale University recognized the 350th anniversary of Yale's birthday. An article that year in American Heritage magazine rated Elihu Yale the "most overrated philanthropist" in American history, arguing that the college that became Yale University was successful largely because of the generosity of a man named Jeremiah Dummer, but that the trustees of the school did not want it known by the name "Dummer College". In her article for The Atlantic about Skull and Bones, a secret society at Yale University, Alexandra Robbins alleges that Yale's headstone was stolen years ago from its proper setting in Wrexham. She further alleges that the tombstone is now displayed in a glass case in a room with purple walls. Slave Trade One of Elihu Yale's responsibilities as president of Fort St. George was overseeing its slave trade, though he himself was never a slave trader, never owned slaves, opposed the slave trade, and imposed several restrictions on it during his tenure. Critics, nonetheless, argue that he benefited from the trade by having it as one of his responsibilities as president, despite not owning any of the traded human beings or profiting from their sales. Cultural references Elihu later became the name of a "senior society" founded in 1903 at Yale. Tom Wolfe, who earned a Ph.D. in American Studies from Yale, named the African-American Atlanta police chief in A Man in Full Elihu Yale. Yale College, a former college in Wrexham, Wales, which has since merged with Coleg Cambria, was also named after Elihu Yale. Theodore Roosevelt's son Quentin kept a hyacinth macaw named Eli Yale. References External links Elihu Yale collection (MS 566). Manuscripts and Archives, Yale University Library. 1649 births 1721 deaths People from Wrexham British North America British philanthropists Administrators in British India History of Chennai Businesspeople from Boston Presidents of Madras Merchants from London Welsh educational theorists Yale University Benefactors of Yale University Fellows of the Royal Society
10245
https://en.wikipedia.org/wiki/Edward%20VI
Edward VI
Edward VI (12 October 1537 – 6 July 1553) was King of England and Ireland from 28 January 1547 until his death in 1553. He was crowned on 20 February 1547 at the age of nine. Edward was the son of Henry VIII and Jane Seymour and the first English monarch to be raised as a Protestant. During his reign, the realm was governed by a regency council because he never reached maturity. The council was first led by his uncle Edward Seymour, 1st Duke of Somerset (1547–1549), and then by John Dudley, 1st Earl of Warwick (1550–1553), who from 1551 was Duke of Northumberland. Edward's reign was marked by economic problems and social unrest that in 1549 erupted into riot and rebellion. An expensive war with Scotland, at first successful, ended with military withdrawal from Scotland and Boulogne-sur-Mer in exchange for peace. The transformation of the Church of England into a recognisably Protestant body also occurred under Edward, who took great interest in religious matters. His father, Henry VIII, had severed the link between the Church and Rome, but had never permitted the renunciation of Catholic doctrine or ceremony. It was during Edward's reign that Protestantism was established for the first time in England with reforms that included the abolition of clerical celibacy and the Mass, and the imposition of compulsory services in English. In February 1553, at age 15, Edward fell ill. When his sickness was discovered to be terminal, he and his council drew up a "Devise for the Succession" to prevent the country's return to Catholicism. Edward named his first cousin once removed, Lady Jane Grey, as his heir, excluding his half-sisters, Mary and Elizabeth. This decision was disputed following Edward's death, and Jane was deposed by Mary nine days after becoming queen. Mary, a Catholic, reversed Edward's Protestant reforms during her reign, but Elizabeth restored them in 1559. Early life Birth Edward was born on 12 October 1537 in his mother's room inside Hampton Court Palace, in Middlesex. He was the son of King Henry VIII by his third wife, Jane Seymour. Throughout the realm, the people greeted the birth of a male heir, "whom we hungered for so long", with joy and relief. Te Deums were sung in churches, bonfires lit, and "their was shott at the Tower that night above two thousand gonnes". Queen Jane, appearing to recover quickly from the birth, sent out personally signed letters announcing the birth of "a Prince, conceived in most lawful matrimony between my Lord the King's Majesty and us". Edward was christened on 15 October, with his half-sisters, the 21-year-old Lady Mary as godmother and the 4-year-old Lady Elizabeth carrying the chrisom; and the Garter King of Arms proclaimed him as Duke of Cornwall and Earl of Chester. The queen, however, fell ill on 23 October from presumed postnatal complications, and died the following night. Henry VIII wrote to Francis I of France that "Divine Providence ... hath mingled my joy with bitterness of the death of her who brought me this happiness". Upbringing and education Edward was a healthy baby who suckled strongly from the outset. His father was delighted with him; in May 1538, Henry was observed "dallying with him in his arms ... and so holding him in a window to the sight and great comfort of the people". That September, the Lord Chancellor, Lord Audley, reported Edward's rapid growth and vigour, and other accounts describe him as a tall and merry child. The tradition that Edward VI was a sickly boy has been challenged by more recent historians. At the age of four, he fell ill with a life-threatening "quartan fever", but, despite occasional illnesses and poor eyesight, he enjoyed generally good health until the last six months of his life. Edward was initially placed in the care of Margaret Bryan, "lady mistress" of the prince's household. She was succeeded by Blanche Herbert, Lady Troy. Until the age of six, Edward was brought up, as he put it later in his Chronicle, "among the women". The formal royal household established around Edward was, at first, under Sir William Sidney, and later Sir Richard Page, stepfather of Edward's aunt Anne (the wife of Edward Seymour). Henry demanded exacting standards of security and cleanliness in his son's household, stressing that Edward was "this whole realm's most precious jewel". Visitors described the prince, who was lavishly provided with toys and comforts, including his own troupe of minstrels, as a contented child. From the age of six, Edward began his formal education under Richard Cox and John Cheke, concentrating, as he recalled himself, on "learning of tongues, of the scripture, of philosophy, and all liberal sciences". He received tuition from his sister Elizabeth's tutor, Roger Ascham, and from Jean Belmain, learning French, Spanish and Italian. In addition, he is known to have studied geometry and learned to play musical instruments, including the lute and the virginals. He collected globes and maps and, according to coinage historian C. E. Challis, developed a grasp of monetary affairs that indicated a high intelligence. Edward's religious education is assumed to have favoured the reforming agenda. His religious establishment was probably chosen by Archbishop Thomas Cranmer, a leading reformer. Both Cox and Cheke were "reformed" Catholics or Erasmians and later became Marian exiles. By 1549, Edward had written a treatise on the pope as Antichrist and was making informed notes on theological controversies. Many aspects of Edward's religion were essentially Catholic in his early years, including celebration of the mass and reverence for images and relics of the saints. Both Edward's sisters were attentive to their brother and often visited him—on one occasion, Elizabeth gave him a shirt "of her own working". Edward "took special content" in Mary's company, though he disapproved of her taste for foreign dances; "I love you most", he wrote to her in 1546. In 1543, Henry invited his children to spend Christmas with him, signalling his reconciliation with his daughters, whom he had previously illegitimised and disinherited. The following spring, he restored them to their place in the succession with a Third Succession Act, which also provided for a regency council during Edward's minority. This unaccustomed family harmony may have owed much to the influence of Henry's new wife, Catherine Parr, of whom Edward soon became fond. He called her his "most dear mother" and in September 1546 wrote to her: "I received so many benefits from you that my mind can hardly grasp them." Other children were brought to play with Edward, including the granddaughter of his chamberlain, Sir William Sidney, who in adulthood recalled the prince as "a marvellous sweet child, of very mild and generous condition". Edward was educated with sons of nobles, "appointed to attend upon him" in what was a form of miniature court. Among these, Barnaby Fitzpatrick, son of an Irish peer, became a close and lasting friend. Edward was more devoted to his schoolwork than his classmates and seems to have outshone them, motivated to do his "duty" and compete with his sister Elizabeth's academic prowess. Edward's surroundings and possessions were regally splendid: his rooms were hung with costly Flemish tapestries, and his clothes, books and cutlery were encrusted with precious jewels and gold. Like his father, Edward was fascinated by military arts, and many of his portraits show him wearing a gold dagger with a jewelled hilt, in imitation of Henry. Edward's Chronicle enthusiastically details English military campaigns against Scotland and France, and adventures such as John Dudley's near capture at Musselburgh in 1547. "The Rough Wooing" On 1 July 1543, Henry VIII signed the Treaty of Greenwich with the Scots, sealing the peace with Edward's betrothal to the seven-month-old Mary, Queen of Scots. The Scots were in a weak bargaining position after their defeat at the Battle of Solway Moss in November 1542, and Henry, seeking to unite the two realms, stipulated that Mary be handed over to him to be brought up in England. When the Scots repudiated the treaty in December 1543 and renewed their alliance with France, Henry was enraged. In April 1544, he ordered Edward's uncle, Edward Seymour, Earl of Hertford, to invade Scotland and "put all to fire and sword, burn Edinburgh town, so razed and defaced when you have sacked and gotten what ye can of it, as there may remain forever a perpetual memory of the vengeance of God lightened upon [them] for their falsehood and disloyalty". Seymour responded with the most savage campaign ever launched by the English against the Scots. The war, which continued into Edward's reign, has become known as "the Rough Wooing". Accession The nine-year-old Edward wrote to his father and stepmother on 10 January 1547 from Hertford thanking them for his new year's gift of their portraits from life. By 28 January, Henry VIII was dead. Those close to the throne, led by Edward Seymour and William Paget, agreed to delay the announcement of the king's death until arrangements had been made for a smooth succession. Seymour and Sir Anthony Browne, the Master of the Horse, rode to collect Edward from Hertford and brought him to Enfield, where Lady Elizabeth was living. He and Elizabeth were then told of their father's death and heard a reading of his will. Lord Chancellor Thomas Wriothesley announced Henry's death to Parliament on 31 January, and general proclamations of Edward's succession were ordered. The new king was taken to the Tower of London, where he was welcomed with "great shot of ordnance in all places there about, as well out of the Tower as out of the ships". The following day, the nobles of the realm made their obeisance to Edward at the Tower, and Seymour was announced as Protector. Henry VIII was buried at Windsor on 16 February, in the same tomb as Jane Seymour, as he had wished. Edward VI was crowned at Westminster Abbey on Sunday 20 February. The ceremonies were shortened, because of the "tedious length of the same which should weary and be hurtsome peradventure to the King's majesty, being yet of tender age", and also because the Reformation had rendered some of them inappropriate. On the eve of the coronation, Edward progressed on horseback from the Tower to the Palace of Westminster through thronging crowds and pageants, many based on the pageants for a previous boy king, Henry VI. He laughed at a Spanish tightrope walker who "tumbled and played many pretty toys" outside St Paul's Cathedral. At the coronation service, Cranmer affirmed the royal supremacy and called Edward a second Josiah, urging him to continue the reformation of the Church of England, "the tyranny of the Bishops of Rome banished from your subjects, and images removed". After the service, Edward presided at a banquet in Westminster Hall, where, he recalled in his Chronicle, he dined with his crown on his head. Somerset Protectorate Council of regency Henry VIII's will named sixteen executors, who were to act as Edward's council until he reached the age of eighteen. These executors were supplemented by twelve men "of counsail" who would assist the executors when called on. The final state of Henry VIII's will has been the subject of controversy. Some historians suggest that those close to the king manipulated either him or the will itself to ensure a share-out of power to their benefit, both material and religious. In this reading, the composition of the Privy Chamber shifted towards the end of 1546 in favour of the reforming faction. In addition, two leading conservative Privy Councillors were removed from the centre of power. Stephen Gardiner was refused access to Henry during his last months. Thomas Howard, 3rd Duke of Norfolk, found himself accused of treason; the day before the king's death his vast estates were seized, making them available for redistribution, and he spent the whole of Edward's reign in the Tower of London. Other historians have argued that Gardiner's exclusion was based on non-religious matters, that Norfolk was not noticeably conservative in religion, that conservatives remained on the council, and that the radicalism of such men as Sir Anthony Denny, who controlled the dry stamp that replicated the king's signature, is debatable. Whatever the case, Henry's death was followed by a lavish hand-out of lands and honours to the new power group. The will contained an "unfulfilled gifts" clause, added at the last minute, which allowed the executors to freely distribute lands and honours to themselves and the court, particularly to Edward Seymour, 1st Earl of Hertford, the new king's uncle who became Lord Protector of the Realm, Governor of the King's Person and Duke of Somerset. In fact, Henry VIII's will did not provide for the appointment of a Protector. It entrusted the government of the realm during his son's minority to a regency council that would rule collectively, by majority decision, with "like and equal charge". Nevertheless, a few days after Henry's death, on 4 February, the executors chose to invest almost regal power in the Duke of Somerset. Thirteen out of the sixteen (the others being absent) agreed to his appointment as Protector, which they justified as their joint decision "by virtue of the authority" of Henry's will. Somerset may have done a deal with some of the executors, who almost all received hand-outs. He is known to have done so with William Paget, private secretary to Henry VIII, and to have secured the support of Sir Anthony Browne of the Privy Chamber. Somerset's appointment was in keeping with historical precedent, and his eligibility for the role was reinforced by his military successes in Scotland and France. In March 1547, he secured letters patent from King Edward granting him the almost monarchical right to appoint members to the Privy Council himself and to consult them only when he wished. In the words of historian Geoffrey Elton, "from that moment his autocratic system was complete". He proceeded to rule largely by proclamation, calling on the Privy Council to do little more than rubber-stamp his decisions. Somerset's takeover of power was smooth and efficient. The imperial ambassador, François van der Delft, reported that he "governs everything absolutely", with Paget operating as his secretary, though he predicted trouble from John Dudley, Viscount Lisle, who had recently been raised to Earl of Warwick in the share-out of honours. In fact, in the early weeks of his Protectorate, Somerset was challenged only by the Chancellor, Thomas Wriothesley, whom the Earldom of Southampton had evidently failed to buy off, and by his own brother. Wriothesley, a religious conservative, objected to Somerset's assumption of monarchical power over the council. He then found himself abruptly dismissed from the chancellorship on charges of selling off some of his offices to delegates. Thomas Seymour Somerset faced less manageable opposition from his younger brother Thomas, who has been described as a "worm in the bud". As King Edward's uncle, Thomas Seymour demanded the governorship of the king's person and a greater share of power. Somerset tried to buy his brother off with a barony, an appointment to the Lord Admiralship, and a seat on the Privy Council—but Thomas was bent on scheming for power. He began smuggling pocket money to King Edward, telling him that Somerset held the purse strings too tight, making him a "beggarly king". He also urged the king to throw off the Protector within two years and "bear rule as other kings do"; but Edward, schooled to defer to the council, failed to co-operate. In the spring of 1547, using Edward's support to circumvent Somerset's opposition, Thomas Seymour secretly married Henry VIII's widow Catherine Parr, whose Protestant household included the 11-year-old Lady Jane Grey and the 13-year-old Lady Elizabeth. In summer 1548, a pregnant Catherine Parr discovered Thomas Seymour embracing Lady Elizabeth. As a result, Elizabeth was removed from Parr's household and transferred to Sir Anthony Denny's. That September, Parr died shortly after childbirth, and Seymour promptly resumed his attentions to Elizabeth by letter, planning to marry her. Elizabeth was receptive, but, like Edward, unready to agree to anything unless permitted by the council. In January 1549, the council had Thomas Seymour arrested on various charges, including embezzlement at the Bristol mint. King Edward, whom Seymour was accused of planning to marry to Lady Jane Grey, himself testified about the pocket money. Lack of clear evidence for treason ruled out a trial, so Seymour was condemned instead by an act of attainder and beheaded on 20 March 1549. War Somerset's only undoubted skill was as a soldier, which he had proven on expeditions to Scotland and in the defence of Boulogne-sur-Mer in 1546. From the first, his main interest as Protector was the war against Scotland. After a crushing victory at the Battle of Pinkie in September 1547, he set up a network of garrisons in Scotland, stretching as far north as Dundee. His initial successes, however, were followed by a loss of direction, as his aim of uniting the realms through conquest became increasingly unrealistic. The Scots allied with France, who sent reinforcements for the defence of Edinburgh in 1548. The Queen of Scots was moved to France, where she was betrothed to the Dauphin. The cost of maintaining the Protector's massive armies and his permanent garrisons in Scotland also placed an unsustainable burden on the royal finances. A French attack on Boulogne in August 1549 at last forced Somerset to begin a withdrawal from Scotland. Rebellion During 1548, England was subject to social unrest. After April 1549, a series of armed revolts broke out, fuelled by various religious and agrarian grievances. The two most serious rebellions, which required major military intervention to put down, were in Devon and Cornwall and in Norfolk. The first, sometimes called the Prayer Book Rebellion, arose from the imposition of Protestantism, and the second, led by a tradesman called Robert Kett, mainly from the encroachment of landlords on common grazing ground. A complex aspect of the social unrest was that the protesters believed they were acting legitimately against enclosing landlords with the Protector's support, convinced that the landlords were the lawbreakers. The same justification for outbreaks of unrest was voiced throughout the country, not only in Norfolk and the west. The origin of the popular view of Somerset as sympathetic to the rebel cause lies partly in his series of sometimes liberal, often contradictory, proclamations, and partly in the uncoordinated activities of the commissions he sent out in 1548 and 1549 to investigate grievances about loss of tillage, encroachment of large sheep flocks on common land, and similar issues. Somerset's commissions were led by an evangelical MP called John Hales, whose socially liberal rhetoric linked the issue of enclosure with Reformation theology and the notion of a godly commonwealth. Local groups often assumed that the findings of these commissions entitled them to act against offending landlords themselves. King Edward wrote in his Chronicle that the 1549 risings began "because certain commissions were sent down to pluck down enclosures". Whatever the popular view of Somerset, the disastrous events of 1549 were taken as evidence of a colossal failure of government, and the council laid the responsibility at the Protector's door. In July 1549, Paget wrote to Somerset: "Every man of the council have misliked your proceedings ... would to God, that, at the first stir you had followed the matter hotly, and caused justice to be ministered in solemn fashion to the terror of others ...". Fall of Somerset The sequence of events that led to Somerset's removal from power has often been called a coup d'état. By 1 October 1549, Somerset had been alerted that his rule faced a serious threat. He issued a proclamation calling for assistance, took possession of the king's person, and withdrew for safety to the fortified Windsor Castle, where Edward wrote, "Me thinks I am in prison". Meanwhile, a united council published details of Somerset's government mismanagement. They made clear that the Protector's power came from them, not from Henry VIII's will. On 11 October, the council had Somerset arrested and brought the king to Richmond Palace. Edward summarised the charges against Somerset in his Chronicle: "ambition, vainglory, entering into rash wars in mine youth, negligent looking on Newhaven, enriching himself of my treasure, following his own opinion, and doing all by his own authority, etc." In February 1550, John Dudley, Earl of Warwick, emerged as the leader of the council and, in effect, as Somerset's successor. Although Somerset was released from the Tower and restored to the council, he was executed for felony in January 1552 after scheming to overthrow Dudley's regime. Edward noted his uncle's death in his Chronicle: "the duke of Somerset had his head cut off upon Tower Hill between eight and nine o'clock in the morning". Historians contrast the efficiency of Somerset's takeover of power, in which they detect the organising skills of allies such as Paget, the "master of practices", with the subsequent ineptitude of his rule. By autumn 1549, his costly wars had lost momentum, the crown faced financial ruin, and riots and rebellions had broken out around the country. Until recent decades, Somerset's reputation with historians was high, in view of his many proclamations that appeared to back the common people against a rapacious landowning class. More recently, however, he has often been portrayed as an arrogant and aloof ruler, lacking in political and administrative skills. Northumberland's leadership In contrast, Somerset's successor the Earl of Warwick, made Duke of Northumberland in 1551, was once regarded by historians merely as a grasping schemer who cynically elevated and enriched himself at the expense of the crown. Since the 1970s, the administrative and economic achievements of his regime have been recognised, and he has been credited with restoring the authority of the royal council and returning the government to an even keel after the disasters of Somerset's protectorate. The Earl of Warwick's rival for leadership of the new regime was Thomas Wriothesley, 1st Earl of Southampton, whose conservative supporters had allied with Warwick's followers to create a unanimous council which they and observers, such as the Holy Roman Emperor Charles V's ambassador, expected to reverse Somerset's policy of religious reform. Warwick, on the other hand, pinned his hopes on the king's strong Protestantism and, claiming that Edward was old enough to rule in person, moved himself and his people closer to the king, taking control of the Privy Chamber. Paget, accepting a barony, joined Warwick when he realised that a conservative policy would not bring the emperor onto the English side over Boulogne. Southampton prepared a case for executing Somerset, aiming to discredit Warwick through Somerset's statements that he had done all with Warwick's co-operation. As a counter-move, Warwick convinced Parliament to free Somerset, which it did on 14 January 1550. Warwick then had Southampton and his followers purged from the council after winning the support of council members in return for titles, and was made Lord President of the Council and great master of the king's household. Although not called a Protector, he was now clearly the head of the government. As Edward was growing up, he was able to understand more and more government business. However, his actual involvement in decisions has long been a matter of debate, and during the 20th century, historians have presented the whole gamut of possibilities, "balanc[ing] an articulate puppet against a mature, precocious, and essentially adult king", in the words of Stephen Alford. A special "Counsel for the Estate" was created when Edward was fourteen. He chose the members himself. In the weekly meetings with this council, Edward was "to hear the debating of things of most importance". A major point of contact with the king was the Privy Chamber, and there Edward worked closely with William Cecil and William Petre, the principal secretaries. The king's greatest influence was in matters of religion, where the council followed the strongly Protestant policy that Edward favoured. The Duke of Northumberland's mode of operation was very different from Somerset's. Careful to make sure he always commanded a majority of councillors, he encouraged a working council and used it to legitimise his authority. Lacking Somerset's blood-relationship with the king, he added members to the council from his own faction in order to control it. He also added members of his family to the royal household. He saw that to achieve personal dominance, he needed total procedural control of the council. In the words of historian John Guy, "Like Somerset, he became quasi-king; the difference was that he managed the bureaucracy on the pretence that Edward had assumed full sovereignty, whereas Somerset had asserted the right to near-sovereignty as Protector". Warwick's war policies were more pragmatic than Somerset's, and they have earned him criticism for weakness. In 1550, he signed a peace treaty with France that agreed to withdrawal from Boulogne and recalled all English garrisons from Scotland. In 1551, Edward was betrothed to Elisabeth of Valois, King Henry II's daughter, and was made a Knight of Saint Michael. Warwick realised that England could no longer support the cost of wars. At home, he took measures to police local unrest. To forestall future rebellions, he kept permanent representatives of the crown in the localities, including lords lieutenant, who commanded military forces and reported back to central government. Working with William Paulet and Walter Mildmay, Warwick tackled the disastrous state of the kingdom's finances. However, his regime first succumbed to the temptations of a quick profit by further debasing the coinage. The economic disaster that resulted caused Warwick to hand the initiative to the expert Thomas Gresham. By 1552, confidence in the coinage was restored, prices fell and trade at last improved. Though a full economic recovery was not achieved until Elizabeth's reign, its origins lay in the Duke of Northumberland's policies. The regime also cracked down on widespread embezzlement of government finances, and carried out a thorough review of revenue collection practices, which has been called "one of the more remarkable achievements of Tudor administration". Reformation In the matter of religion, the regime of Northumberland followed the same policy as that of Somerset, supporting an increasingly vigorous programme of reform. Although Edward VI's practical influence on government was limited, his intense Protestantism made a reforming administration obligatory; his succession was managed by the reforming faction, who continued in power throughout his reign. The man Edward trusted most, Thomas Cranmer, Archbishop of Canterbury, introduced a series of religious reforms that revolutionised the English church from one that—while rejecting papal supremacy—remained essentially Catholic to one that was institutionally Protestant. The confiscation of church property that had begun under Henry VIII resumed under Edward—notably with the dissolution of the chantries—to the great monetary advantage of the crown and the new owners of the seized property. Church reform was therefore as much a political as a religious policy under Edward VI. By the end of his reign, the church had been financially ruined, with much of the property of the bishops transferred into lay hands. The religious convictions of both Somerset and Northumberland have proved elusive for historians, who are divided on the sincerity of their Protestantism. There is less doubt, however, about the religious fervour of King Edward, who was said to have read twelve chapters of scripture daily and enjoyed sermons, and was commemorated by John Foxe as a "godly imp". Edward was depicted during his life and afterwards as a new Josiah, the biblical king who destroyed the idols of Baal. He could be priggish in his anti-Catholicism and once asked Catherine Parr to persuade Lady Mary "to attend no longer to foreign dances and merriments which do not become a most Christian princess". Edward's biographer Jennifer Loach cautions, however, against accepting too readily the pious image of Edward handed down by the reformers, as in John Foxe's influential Acts and Monuments, where a woodcut depicts the young king listening to a sermon by Hugh Latimer. In the early part of his life, Edward conformed to the prevailing Catholic practices, including attendance at mass, but he became convinced, under the influence of Cranmer and the reformers among his tutors and courtiers, that "true" religion should be imposed in England. The English Reformation advanced under pressure from two directions: from the traditionalists on the one hand and the zealots on the other, who led incidents of iconoclasm (image-smashing) and complained that reform did not go far enough. Cranmer set himself the task of writing a uniform liturgy in English, detailing all weekly and daily services and religious festivals, to be made compulsory in the first Act of Uniformity of 1549. The Book of Common Prayer of 1549, intended as a compromise, was attacked by traditionalists for dispensing with many cherished rituals of the liturgy, such as the elevation of the bread and wine, while some reformers complained about the retention of too many "popish" elements, including vestiges of sacrificial rites at communion. Many senior Catholic clerics, including Bishops Stephen Gardiner of Winchester and Edmund Bonner of London, also opposed the prayer book. Both were imprisoned in the Tower and, along with others, deprived of their sees. In 1549, over 5,500 people lost their lives in the Prayer Book Rebellion in Devon and Cornwall. Reformed doctrines were made official, such as justification by faith alone and communion for laity as well as clergy in both kinds, of bread and wine. The Ordinal of 1550 replaced the divine ordination of priests with a government-run appointment system, authorising ministers to preach the gospel and administer the sacraments rather than, as before, "to offer sacrifice and celebrate mass both for the living and the dead". After 1551, the Reformation advanced further, with the approval and encouragement of Edward, who began to exert more personal influence in his role as Supreme Head of the church. The new changes were also a response to criticism from such reformers as John Hooper, Bishop of Gloucester, and the Scot John Knox, who was employed as a minister in Newcastle upon Tyne under the Duke of Northumberland and whose preaching at court prompted the king to oppose kneeling at communion. Cranmer was also influenced by the views of the continental reformer Martin Bucer, who died in England in 1551; by Peter Martyr, who was teaching at Oxford; and by other foreign theologians. The progress of the Reformation was further speeded by the consecration of more reformers as bishops. In the winter of 1551–52, Cranmer rewrote the Book of Common Prayer in less ambiguous reformist terms, revised canon law and prepared a doctrinal statement, the Forty-two Articles, to clarify the practice of the reformed religion, particularly in the divisive matter of the communion service. Cranmer's formulation of the reformed religion, finally divesting the communion service of any notion of the real presence of God in the bread and the wine, effectively abolished the mass. According to Elton, the publication of Cranmer's revised prayer book in 1552, supported by a second Act of Uniformity, "marked the arrival of the English Church at Protestantism". The prayer book of 1552 remains the foundation of the Church of England's services. However, Cranmer was unable to implement all these reforms once it became clear in spring 1553 that King Edward, upon whom the whole Reformation in England depended, was dying. Succession crisis Devise for the succession In February 1553, Edward VI became ill, and by June, after several improvements and relapses, he was in a hopeless condition. The king's death and the succession of his Catholic half-sister Mary would jeopardise the English Reformation, and Edward's council and officers had many reasons to fear it. Edward himself opposed Mary's succession, not only on religious grounds but also on those of legitimacy and male inheritance, which also applied to Elizabeth. He composed a draft document, headed "My devise for the succession", in which he undertook to change the succession, most probably inspired by his father Henry VIII's precedent. He passed over the claims of his half-sisters and, at last, settled the Crown on his first cousin once removed, the 16-year-old Lady Jane Grey, who on 25 May 1553 had married Lord Guilford Dudley, a younger son of the Duke of Northumberland. In the document he writes: In his document Edward provided, in case of "lack of issue of my body", for the succession of male heirs only – those of Lady Jane Grey's mother, Frances Grey, Duchess of Suffolk; of Jane herself; or of her sisters Katherine, Lady Herbert, and Lady Mary. As his death approached and possibly persuaded by Northumberland, he altered the wording so that Jane and her sisters themselves should be able to succeed. Yet Edward conceded their right only as an exception to male rule, demanded by reality, an example not to be followed if Jane and her sisters had only daughters. In the final document both Mary and Elizabeth were excluded because of bastardy; since both had been declared bastards under Henry VIII and never made legitimate again, this reason could be advanced for both sisters. The provisions to alter the succession directly contravened Henry VIII's Third Succession Act of 1543 and have been described as bizarre and illogical. In early June, Edward personally supervised the drafting of a clean version of his devise by lawyers, to which he lent his signature "in six several places." Then, on 15 June he summoned high-ranking judges to his sickbed, commanding them on their allegiance "with sharp words and angry countenance" to prepare his devise as letters patent and announced that he would have these passed in Parliament. His next measure was to have leading councillors and lawyers sign a bond in his presence, in which they agreed faithfully to perform Edward's will after his death. A few months later, Chief Justice Edward Montagu recalled that when he and his colleagues had raised legal objections to the devise, Northumberland had threatened them "trembling for anger, and ... further said that he would fight in his shirt with any man in that quarrel". Montagu also overheard a group of lords standing behind him conclude "if they refused to do that, they were traitors". At last, on 21 June, the devise was signed by over a hundred notables, including councillors, peers, archbishops, bishops and sheriffs; many of them later claimed that they had been bullied into doing so by Northumberland, although in the words of Edward's biographer Jennifer Loach, "few of them gave any clear indication of reluctance at the time". It was now common knowledge that Edward was dying, and foreign diplomats suspected that some scheme to debar Mary was under way. France found the prospect of the emperor's cousin on the English throne disagreeable and engaged in secret talks with Northumberland, indicating support. The diplomats were certain that the overwhelming majority of the English people backed Mary, but nevertheless believed that Queen Jane would be successfully established. For centuries, the attempt to alter the succession was mostly seen as a one-man plot by the Duke of Northumberland. Since the 1970s, however, many historians have attributed the inception of the "devise" and the insistence on its implementation to the king's initiative. Diarmaid MacCulloch has made out Edward's "teenage dreams of founding an evangelical realm of Christ", while David Starkey has stated that "Edward had a couple of co-operators, but the driving will was his". Among other members of the Privy Chamber, Northumberland's intimate Sir John Gates has been suspected of suggesting to Edward to change his devise so that Lady Jane Grey herself—not just any sons of hers—could inherit the Crown. Whatever the degree of his contribution, Edward was convinced that his word was law and fully endorsed disinheriting his half-sisters: "barring Mary from the succession was a cause in which the young King believed." Illness and death Edward became ill during January 1553 with a fever and cough that gradually worsened. The imperial ambassador, Jean Scheyfve, reported that "he suffers a good deal when the fever is upon him, especially from a difficulty in drawing his breath, which is due to the compression of the organs on the right side". Edward felt well enough in early April to take the air in the park at Westminster and to move to Greenwich, but by the end of the month he had weakened again. By 7 May he was "much amended", and the royal doctors had no doubt of his recovery. A few days later the king was watching the ships on the Thames, sitting at his window. However, he relapsed, and on 11 June Scheyfve, who had an informant in the king's household, reported that "the matter he ejects from his mouth is sometimes coloured a greenish yellow and black, sometimes pink, like the colour of blood". Now his doctors believed he was suffering from "a suppurating tumour" of the lung and admitted that Edward's life was beyond recovery. Soon, his legs became so swollen that he had to lie on his back, and he lost the strength to resist the disease. To his tutor John Cheke he whispered, "I am glad to die". Edward made his final appearance in public on 1 July, when he showed himself at his window in Greenwich Palace, horrifying those who saw him by his "thin and wasted" condition. During the next two days, large crowds arrived hoping to see the king again, but on 3 July, they were told that the weather was too chilly for him to appear. Edward died at the age of 15 at Greenwich Palace at 8 pm on 6 July 1553. According to John Foxe's legendary account of his death, his last words were: "I am faint; Lord have mercy upon me, and take my spirit". Edward was buried in the Henry VII Lady Chapel at Westminster Abbey on 8 August 1553, with reformed rites performed by Thomas Cranmer. The procession was led by "a grett company of chylderyn in ther surples" and watched by Londoners "wepyng and lamenting"; the funeral chariot, draped in cloth of gold, was topped by an effigy of Edward, with crown, sceptre, and garter. Edward's burial place was unmarked until as late as 1966, when an inscribed stone was laid in the chapel floor by Christ's Hospital school to commemorate their founder. The inscription reads as follows: "In Memory Of King Edward VI Buried In This Chapel This Stone Was Placed Here By Christ's Hospital In Thanksgiving For Their Founder 7 October 1966". The cause of Edward VI's death is not certain. As with many royal deaths in the 16th century, rumours of poisoning abounded, but no evidence has been found to support these. The Duke of Northumberland, whose unpopularity was underlined by the events that followed Edward's death, was widely believed to have ordered the imagined poisoning. Another theory held that Edward had been poisoned by Catholics seeking to bring Mary to the throne. The surgeon who opened Edward's chest after his death found that "the disease whereof his majesty died was the disease of the lungs". The Venetian ambassador reported that Edward had died of consumption—in other words, tuberculosis—a diagnosis accepted by many historians. Skidmore believes that Edward contracted tuberculosis after a bout of measles and smallpox in 1552 that suppressed his natural immunity to the disease. Loach suggests instead that his symptoms were typical of acute bronchopneumonia, leading to a "suppurating pulmonary infection" or lung abscess, septicaemia and kidney failure. Lady Jane and Queen Mary Lady Mary was last seen by Edward in February, and was kept informed about the state of her half-brother's health by Northumberland and through her contacts with the imperial ambassadors. Aware of Edward's imminent death, she left Hunsdon House, near London, and sped to her estates around Kenninghall in Norfolk, where she could count on the support of her tenants. Northumberland sent ships to the Norfolk coast to prevent her escape or the arrival of reinforcements from the continent. He delayed the announcement of the king's death while he gathered his forces, and Jane Grey was taken to the Tower on 10 July. On the same day, she was proclaimed queen in the streets of London, to murmurings of discontent. The Privy Council received a message from Mary asserting her "right and title" to the throne and commanding that the council proclaim her queen, as she had already proclaimed herself. The council replied that Jane was queen by Edward's authority and that Mary, by contrast, was illegitimate and supported only by "a few lewd, base people". Northumberland soon realised that he had miscalculated drastically, not least in failing to secure Mary's person before Edward's death. Although many of those who rallied to Mary were Catholics hoping to establish that religion and hoping for the defeat of Protestantism, her supporters also included many for whom her lawful claim to the throne overrode religious considerations. Northumberland was obliged to relinquish control of a nervous council in London and launch an unplanned pursuit of Mary into East Anglia, from where news was arriving of her growing support, which included a number of nobles and gentlemen and "innumerable companies of the common people". On 14 July Northumberland marched out of London with three thousand men, reaching Cambridge the next day; meanwhile, Mary rallied her forces at Framlingham Castle in Suffolk, gathering an army of nearly twenty thousand by 19 July. It now dawned on the Privy Council that it had made a terrible mistake. Led by the Earls of Arundel and Pembroke, on 19 July the council publicly proclaimed Mary as queen; Jane's nine-day reign came to an end. The proclamation triggered wild rejoicing throughout London. Stranded in Cambridge, Northumberland himself proclaimed Mary queen—as he had been commanded to do by a letter from the council. William Paget and the Earl of Arundel rode to Framlingham to beg Mary's pardon, and Arundel arrested Northumberland on 24 July. Northumberland was beheaded on 22 August, shortly after renouncing Protestantism. His recantation dismayed his daughter-in-law, Jane, who followed him to the scaffold on 12 February 1554, after her father's involvement in Wyatt's rebellion. Protestant legacy Although Edward reigned for only six years and died at the age of 15, his reign made a lasting contribution to the English Reformation and the structure of the Church of England. The last decade of Henry VIII's reign had seen a partial stalling of the Reformation, a drifting back to Catholic values. By contrast, Edward's reign saw radical progress in the Reformation, with the Church transferring from an essentially Catholic liturgy and structure to one that is usually identified as Protestant. In particular, the introduction of the Book of Common Prayer, the Ordinal of 1550 and Cranmer's Forty-two Articles formed the basis for English Church practices that continue to this day. Edward himself fully approved these changes, and though they were the work of reformers such as Thomas Cranmer, Hugh Latimer and Nicholas Ridley, backed by Edward's determinedly evangelical council, the fact of the king's religion was a catalyst in the acceleration of the Reformation during his reign. Queen Mary's attempts to undo the reforming work of her brother's reign faced major obstacles. Despite her belief in the papal supremacy, she ruled constitutionally as the Supreme Head of the English Church, a contradiction under which she bridled. She found herself entirely unable to restore the vast number of ecclesiastical properties handed over or sold to private landowners. Although she burned a number of leading Protestant churchmen, many reformers either went into exile or remained subversively active in England during her reign, producing a torrent of reforming propaganda that she was unable to stem. Nevertheless, Protestantism was not yet "printed in the stomachs" of the English people, and had Mary lived longer, her Catholic reconstruction might have succeeded, leaving Edward's reign, rather than hers, as a historical aberration. On Mary's death in 1558, the English Reformation resumed its course, and most of the reforms instituted during Edward's reign were reinstated in the Elizabethan Religious Settlement. Queen Elizabeth replaced Mary's councillors and bishops with ex-Edwardians, such as William Cecil, Northumberland's former secretary, and Richard Cox, Edward's old tutor, who preached an anti-Catholic sermon at the opening of Parliament in 1559. Parliament passed an Act of Uniformity the following spring that restored, with modifications, Cranmer's prayer book of 1552; and the Thirty-nine Articles of 1563 were largely based on Cranmer's Forty-two Articles. The theological developments of Edward's reign provided a vital source of reference for Elizabeth's religious policies, though the internationalism of the Edwardian Reformation was never revived. Family tree See also Cultural depictions of Edward VI of England Notes Informational notes Citations Bibliography . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Further reading . . . Wernham, R. B. Before the Armada: the growth of English foreign policy, 1485–1588 (1966), a standard history of foreign policy Historiography Loades, David. "The reign of Edward VI: An historiographical survey" Historian 67#1 (2000): 22+ online External links Edward VI of England - World History Encyclopedia Edward VI of England 1537 births 1553 deaths 16th-century English monarchs 16th-century English nobility 16th-century Irish monarchs English people of Welsh descent English pretenders to the French throne Founders of English schools and colleges Princes of Wales Burials at Westminster Abbey Rulers who died as children Modern child rulers Dukes of Cornwall Christ's Hospital Protestant monarchs 16th-century deaths from tuberculosis English people of the Rough Wooing Jane Seymour House of Tudor Children of Henry VIII Tuberculosis deaths in England
10263
https://en.wikipedia.org/wiki/Executive%20%28government%29
Executive (government)
The executive (short for executive branch or executive power) is the part of government that enforces law, and has responsibility for the governance of a state. In political systems based on the principle of separation of powers, authority is distributed among several branches (executive, legislative, judicial)—an attempt to prevent the concentration of power in the hands of a single group of people. In such a system, the executive does not pass laws (the role of the legislature) or interpret them (the role of the judiciary). Instead, the executive enforces the law as written by the legislature and interpreted by the judiciary. The executive can be the source of certain types of law, such as a decree or executive order. Executive bureaucracies are commonly the source of regulations. In political systems that use fusion of powers, which typically includes parliamentary systems, only the executive is typically referred to as the government (with the legislature often referred to as "Parliament" or simply "the legislature") which typically is either a part of or requires the confidence of (requires the support/approval of) the legislature and is therefore fused to the legislative power instead of being independent. In systems where the legislature is sovereign, the powers of and the organization of the executive are completely dependent on what powers the legislature grants it and the actions of the executive may or may not be subject to judicial review, something which is also controlled by the legislature. The executive may also have legislative or judicial powers in systems that where the legislature is sovereign, which is often why the executive is instead referred to as the government since it often possesses non-executive powers. Ministers In parliamentary systems, the executive is responsible to the elected legislature, i.e. must maintain the confidence of the legislature (or one part of it, if bicameral). In certain circumstances (varying by state), the legislature can express its lack of confidence in the executive, which causes either a change in governing party or group of parties or a general election. Parliamentary systems have a head of government (who leads the executive, often called ministers) normally distinct from the head of state (who continues through governmental and electoral changes). In the Westminster type of parliamentary system, the principle of separation of powers is not as entrenched as in some others. Members of the executive (ministers), are also members of the legislature, and hence play an important part in both the writing and enforcing of law. In this context, the executive consists of a leader or leader of an office or multiple offices. Specifically, the top leadership roles of the executive branch may include: head of state – often the monarch, the president or the supreme leader, the chief public representative and living symbol of national unity. head of government – often the prime minister, overseeing the administration of all affairs of state. defense minister – overseeing the armed forces, determining military policy, and managing external safety. interior minister – overseeing the police forces, enforcing the law, and managing internal control. foreign minister – overseeing the diplomatic service, determining foreign policy and managing foreign relations. finance minister – overseeing the treasury, determining fiscal policy and managing national budget. justice minister – overseeing criminal prosecutions, corrections, enforcement of court orders. Presidents and ministers In a presidential system, the leader of the executive is both the head of state and head of government. In a parliamentary system, a cabinet minister responsible to the legislature is the head of government, while the head of state is usually a largely ceremonial monarch or president. See also Constitution Diarchy Legal reform Rule according to higher law References Constitutional law Separation of powers Public law
10275
https://en.wikipedia.org/wiki/Erdo%C4%9Fan%20Atalay
Erdoğan Atalay
Erdoğan Atalay (born 22 September 1966 in Hanover, West Germany) is a Turkish-German actor. He is best known for his role as police detective Semir Gerkhan in Alarm für Cobra 11 - Die Autobahnpolizei. Early life and career Atalay was born on September 22, 1966, to a Turkish father and German mother. He was a member of the Theater-AG at the IGS Garbsen. At age 18, he made his first appearance as a supporting role in "Aladdin and the Magic Lamp" at the National Theatre of Hanover before studying acting at the Hochschule für Musik und Theater Hamburg. Afterwards he took on guest roles in several German television series such as Music Groschenweise, Einsatz für Lohbeck, Doppelter Einsatz and Die Wache. In March 1996, Action Concept cast Atalay in what would become his breakthrough role, starring as Semir Gerkhan, a police detective of Turkish origin. Atalay co-wrote the screenplay for one of the series' episodes, titled "Checkmate," and is a consulting producer for the series as of 2016. In 2005, Atalay published a short story, "Die Türkei ist da oben" ("Turkey is Up There"), in the German-Turkish anthology Was lebbt du?. In September 2012 he shot together with Ilka Bessin (Cindy from Marzahn) the short film "Alarm for Cindy 11", a parody of Alarm for Cobra 11. The short film was broadcast on September 15, 2012 in the program. Personal life Atalay's first marriage was to film and theatre actress Astrid Pollmann in 2004; the couple separated in late 2009. They have one daughter, Pauletta, who has also starred alongside her father in Alarm für Cobra 11 as Ayda Gerkhan, the middle child of Semir Gerkhan. His second child was born in mid-2012 to makeup artist and manager Katja Ohneck, with whom he is married as of 2017. Filmography Film 1997: Sperling und der falsche Freund 1998: Der Clown 2000: Liebe Pur 2000: Maximum Speed 2006: Hammer und Hart 2011: Geister all inclusive 2015: Macho Man 2018: Asphaltgorillas TV 1990: Musik Groschenweise 1994: Die Wache 1995: Doppelter Einsatz 1996-present: Alarm für Cobra 11 – Die Autobahnpolizei 1999–2000: Hinter Gittern – Der Frauenknast (3 episodes) 2003: Alarm für Cobra 11 – Einsatz für Team 2 2010: C.I.S. – Chaoten im Sondereinsatz 2012: SOKO 5113 2012: Cindy aus Marzahn und die jungen Wilden 2013: Mordkommission Istanbul 2016: SOKO Stuttgart – Fluch des Geldes seit 2019: Die Martina Hill Show (7 episodes, Alarm für Mutti 11) Theatre 1984: Aladdin and the Magic Lamp (Staatstheater Hannover) References External links Official MySpace 1966 births German male stage actors German male television actors Living people German people of Turkish descent Hochschule für Musik und Theater Hamburg alumni 20th-century German male actors 21st-century German male actors
10277
https://en.wikipedia.org/wiki/Ennio%20Morricone
Ennio Morricone
Ennio Morricone, OMRI (; 10 November 19286 July 2020) was an Italian composer, orchestrator, conductor, and trumpeter who wrote music in a wide range of styles. With more than 400 scores for cinema and television, as well as more than 100 classical works, Morricone is widely considered one of the most prolific and greatest film composers of all time. His filmography includes more than 70 award-winning films, all Sergio Leone's films since A Fistful of Dollars, all Giuseppe Tornatore's films since Cinema Paradiso, The Battle of Algiers, Dario Argento's Animal Trilogy, 1900, Exorcist II, Days of Heaven, several major films in French cinema, in particular the comedy trilogy La Cage aux Folles I, II, III and Le Professionnel, as well as The Thing, Once Upon a Time in America, The Mission, The Untouchables, Mission to Mars, Bugsy, Disclosure, In the Line of Fire, Bulworth, Ripley's Game, and The Hateful Eight. His score to The Good, the Bad and the Ugly (1966) is regarded as one of the most recognizable and influential soundtracks in history. It was inducted into the Grammy Hall of Fame. After playing the trumpet in jazz bands in the 1940s, he became a studio arranger for RCA Victor and in 1955 started ghost writing for film and theatre. Throughout his career, he composed music for artists such as Paul Anka, Mina, Milva, Zucchero, and Andrea Bocelli. From 1960 to 1975, Morricone gained international fame for composing music for Westerns and—with an estimated 10 million copies sold—Once Upon a Time in the West is one of the best-selling scores worldwide. From 1966 to 1980, he was a main member of Il Gruppo, one of the first experimental composers collectives, and in 1969 he co-founded Forum Music Village, a prestigious recording studio. From the 1970s, Morricone excelled in Hollywood, composing for prolific American directors such as Don Siegel, Mike Nichols, Brian De Palma, Barry Levinson, Oliver Stone, Warren Beatty, John Carpenter, and Quentin Tarantino. In 1977, he composed the official theme for the 1978 FIFA World Cup. He continued to compose music for European productions, such as Marco Polo, La piovra, Nostromo, Fateless, Karol, and En mai, fais ce qu'il te plait. Morricone's music has been reused in television series, including The Simpsons and The Sopranos, and in many films, including Inglourious Basterds and Django Unchained. He also scored seven Westerns for Sergio Corbucci, Duccio Tessari's Ringo duology and Sergio Sollima's The Big Gundown and Face to Face. Morricone worked extensively for other film genres with directors such as Bernardo Bertolucci, Mauro Bolognini, Giuliano Montaldo, Roland Joffé, Roman Polanski, Henri Verneuil, Lucio Fulci, Umberto Lenzi, and Pier Paolo Pasolini. His acclaimed soundtrack for The Mission (1986), was certified gold in the United States. The album Yo-Yo Ma Plays Ennio Morricone stayed for 105 weeks on the Billboard Top Classical Albums. Morricone's best-known compositions include "The Ecstasy of Gold", "Se Telefonando", "Man with a Harmonica", "Here's to You", the UK No. 2 single "Chi Mai", "Gabriel's Oboe", and "E Più Ti Penso". In 1971, he received a "Targa d'Oro" for worldwide sales of 22 million, and by 2016 Morricone had sold more than 70 million records worldwide. In 2007, he received the Academy Honorary Award "for his magnificent and multifaceted contributions to the art of film music". He was nominated for a further six Oscars, and in 2016, received his only competitive Academy Award for his score to Quentin Tarantino's film The Hateful Eight, at the time becoming the oldest person ever to win a competitive Oscar. His other achievements include three Grammy Awards, three Golden Globes, six BAFTAs, ten David di Donatello, eleven Nastro d'Argento, two European Film Awards, the Golden Lion Honorary Award, and the Polar Music Prize in 2010. Morricone influenced many artists from film scoring to other styles and genres, including Hans Zimmer, Danger Mouse, Dire Straits, Muse, Metallica, Fields of the Nephilim, and Radiohead. Early life and education Morricone was born in Rome, the son of Libera Ridolfi and Mario Morricone, a musician. At the time of his birth Italy was under fascist rule. His family came from Arpino, near Frosinone. Morricone had four siblings — Adriana, Aldo, Maria, and Franca — and lived in Trastevere in the centre of Rome. His father was a professional trumpeter who performed in light-music orchestras while his mother set up a small textile business. During his early schooldays, Morricone was also a classmate of his later collaborator Sergio Leone. Morricone's father first taught him to read music and to play several instruments. He entered the Saint Cecilia Conservatory to take trumpet lessons under the guidance of Umberto Semproni. He formally entered the conservatory in 1940 at age 12, enrolling in a four-year harmony program that he completed within six months. He studied the trumpet, composition, and choral music under the direction of Goffredo Petrassi, to whom Morricone would later dedicate concert pieces. In 1941 Morricone was chosen among the students of the Saint Cecilia Conservatory to be a part of the Orchestra of the Opera, directed by Carlo Zecchi on the occasion of a tour of the Veneto region. He received his diploma in trumpet in 1946, continuing to work in classical composition and arrangement. Morricone received the Diploma in Instrumentation for Band Arrangement with a mark of 9/10 in 1952. His studies concluded at the Conservatory of Santa Cecilia in 1954 when he obtained a final 9.5/10 in his Diploma in Composition under Petrassi. Career First compositions Morricone wrote his first compositions when he was six years old and he was encouraged to develop his natural talents. In 1946, he composed "Il Mattino" ("The Morning") for voice and piano on a text by Fukuko, first in a group of seven "youth" Lieder. In the following years, he continued to write music for the theatre as well as classical music for voice and piano, such as "Imitazione", based on a text by Italian poet Giacomo Leopardi, "Intimità", based on a text by Olinto Dini, "Distacco I" and "Distacco II" with words by R. Gnoli, "Oboe Sommerso" for baritone and five instruments with words by poet Salvatore Quasimodo, and "Verrà la Morte", for alto and piano, based on a text by novelist Cesare Pavese. In 1953, Morricone was asked by Gorni Kramer and Lelio Luttazzi to write an arrangement for some medleys in an American style for a series of evening radio shows. The composer continued with the composition of other 'serious' classical pieces, thus demonstrating the flexibility and eclecticism that always has been an integral part of his character. Many orchestral and chamber compositions date, in fact, from the period between 1954 and 1959: Musica per archi e pianoforte (1954), Invenzione, Canone e Ricercare per piano; Sestetto per flauto, oboe, fagotto, violino, viola, e violoncello (1955), Dodici Variazione per oboe, violoncello, e piano; Trio per clarinetto, corno, e violoncello; Variazione su un tema di Frescobaldi (1956); Quattro pezzi per chitarra (1957); Distanze per violino, violoncello, e piano; Musica per undici violini, Tre Studi per flauto, clarinetto, e fagotto (1958); and the Concerto per orchestra (1957), dedicated to his teacher Goffredo Petrassi. Morricone soon gained popularity by writing his first background music for radio dramas and quickly moved into film. Composing for radio, television, and pop artists Morricone's career as an arranger began in 1950, by arranging the piece Mamma Bianca (Narciso Parigi). On occasion of the "Anno Santo" (Holy Year), he arranged a long group of popular songs of devotion for radio broadcasting. In 1956, Morricone started to support his family by playing in a jazz band and arranging pop songs for the Italian broadcasting service RAI. He was hired by RAI in 1958 but quit his job on his first day at work when he was told that broadcasting of music composed by employees was forbidden by a company rule. Subsequently, Morricone became a top studio arranger at RCA Victor, working with Renato Rascel, Rita Pavone, Domenico Modugno, and Mario Lanza. Throughout his career, Morricone composed songs for several national and international jazz and pop artists, including Gianni Morandi (Go Kart Twist, 1962), Alberto Lionello (La donna che vale, 1959), Edoardo Vianello (Ornella, 1960; Cicciona cha-cha, 1960; Faccio finta di dormire, 1961; T'ho conosciuta, 1963; and also Pinne, fucine ed occhiali, I Watussi and Guarda come dondolo), Nora Orlandi (Arianna, 1960), Jimmy Fontana (Twist no. 9; Nicole, 1962), Rita Pavone (Come te non-ce nessuno and Pel di carota from 1962, arranged by Luis Bacalov), Catherine Spaak (Penso a te; Questi vent'anni miei, 1964), Luigi Tenco (Quello che conta; Tra tanta gente; 1962), Gino Paoli (Nel corso from 1963, written by Morricone with Paoli), Renato Rascel (Scirocco, 1964), Paul Anka (Ogni Volta), Amii Stewart, Rosy Armen (L'Amore Gira), Milva (Ridevi, Metti Una Sera A Cena), Françoise Hardy (Je changerais d'avis, 1966), Mireille Mathieu (Mon ami de toujours; Pas vu, pas pris, 1971; J'oublie la pluie et le soleil, 1974), and Demis Roussos (I Like The World, 1970). In 1963, the composer co-wrote (with Roby Ferrante) the music for the composition "Ogni volta" ("Every Time"), a song that was performed by Paul Anka for the first time during the Festival di Sanremo in 1964. This song was arranged and conducted by Morricone and sold more than three million copies worldwide, including one million copies in Italy alone. Another success was his composition "Se telefonando". Performed by Mina, it was a track on Studio Uno 66, the 4th studio album by Mina. Morricone's sophisticated arrangement of "Se telefonando" was a combination of melodic trumpet lines, Hal Blaine–style drumming, a string set, a 1960s Europop female choir, and intensive subsonic-sounding trombones. The Italian Hitparade No. 7 song had eight transitions of tonality building tension throughout the chorus. During the following decades, the song was recorded by several performers in Italy and abroad including covers by Françoise Hardy and Iva Zanicchi (1966), Delta V (2005), Vanessa and the O's (2007), and Neil Hannon (2008). Françoise Hardy – Mon amie la rose site in the reader's poll conducted by the newspaper la Repubblica to celebrate Mina's 70th anniversary in 2010, 30,000 voters picked the track as the best song ever recorded by Mina. In 1987, Morricone co-wrote It Couldn't Happen Here with the Pet Shop Boys. Other compositions for international artists include: La metà di me and Immagina (1988) by Ruggero Raimondi, Libera l'amore (1989) performed by Zucchero, Love Affair (1994) by k.d. lang, Ha fatto un sogno (1997) by Antonello Venditti, Di Più (1997) by Tiziana Tosca Donati, Come un fiume tu (1998), Un Canto (1998) and Conradian (2006) by Andrea Bocelli, Ricordare (1998) and Salmo (2000) by Angelo Branduardi, and My heart and I (2001) by Sting. First film scores After graduation in 1954, Morricone started to write and arrange music as a ghost writer for films credited to already well-known composers, while also arranging for many light music orchestras of the RAI television network, working especially with Armando Trovajoli, Alessandro Cicognini, and Carlo Savina. He occasionally adopted Anglicized pseudonyms, such as Dan Savio and Leo Nichols. In 1959, Morricone was the conductor (and uncredited co-composer) for Mario Nascimbene's score to Morte di un amico (Death of a Friend), an Italian drama directed by Franco Rossi. In the same year, he composed music for the theatre show Il lieto fine by Luciano Salce. 1961 marked his real film debut with Luciano Salce's Il Federale (The Fascist). In an interview with American composer Fred Karlin, Morricone discussed his beginnings, stating, "My first films were light comedies or costume movies that required simple musical scores that were easily created, a genre that I never completely abandoned even when I went on to much more important films with major directors". With Il Federale Morricone began a long-run collaboration with Luciano Salce. In 1962, Morricone composed the jazz-influenced score for Salce's comedy La voglia matta (Crazy Desire). That year Morricone also arranged Italian singer Edoardo Vianello's summer hit "Pinne, fucile, e occhiali", a cha-cha song, peppered with added water effects, unusual instrumental sounds and unexpected stops and starts. Morricone wrote works for the concert hall in a more avant-garde style. Some of these have been recorded, such as Ut, a trumpet concerto dedicated to Mauro Maur. The Group and New Consonance From 1964 up to their eventual disbandment in 1980, Morricone was part of Gruppo di Improvvisazione Nuova Consonanza (G.I.N.C.), a group of composers who performed and recorded avant-garde free improvisations. The Rome-based avant-garde ensemble was dedicated to the development of improvisation and new music methods. The ensemble functioned as a laboratory of sorts, working with anti-musical systems and sound techniques in an attempt to redefine the new music ensemble and explore "New Consonance". Known as "The Group" or "Il Gruppo", they released seven albums across the Deutsche Grammophon, RCA, and Cramps labels: Gruppo di Improvvisazione Nuova Consonanza (1966), The Private Sea of Dreams (1967), Improvisationen (1968), The Feedback (1970), Improvvisazioni a Formazioni Variate (1973), Nuova Consonanza (1975), and Musica su Schemi (1976). Perhaps the most famous of these is their album entitled The Feed-back, which combines free jazz and avant-garde classical music with funk; the album frequently is sampled by hip hop DJs and is considered to be one of the most collectable records in existence, often fetching more than $1,000 at auction. Morricone played a key role in The Group and was among the core members in its revolving line-up; in addition to serving as their trumpet player, he directed them on many occasions and they can be heard on a large number of his scores. Held in high regard in avant-garde music circles, they are considered to be the first experimental composers collective, their only peers being the British improvisation collective AMM. Their influence can be heard in free improvising ensembles from the European movements including the Evan Parker Electro-Acoustic Ensemble, the Swiss electronic free improvisation group Voice Crack, John Zorn, and in the techniques of modern classical music and avant-garde jazz groups. The ensemble's groundbreaking work informed their work in composition. The ensemble also performed in varying capacities with Morricone, contributing to some of his 1960s and 1970s Italian soundtracks, including A Quiet Place in the Country (1969) and Cold Eyes of Fear (1971). Film music genres Comedy Morricone's earliest scores were Italian light comedy and costume pictures, where he learned to write simple, memorable themes. During the 1960s and 1970s he composed the scores for comedies such as Eighteen in the Sun (Diciottenni al sole, 1962), Il Successo (1963), Lina Wertmüller's I basilischi (The Basilisks/The Lizards, 1963), Slalom (1965), Menage all'italiana (Menage Italian Style, 1965), How I Learned to Love Women (Come imparai ad amare le donne, 1966), Her Harem (L'harem, 1967), A Fine Pair (Ruba al prossimo tuo, 1968), L'Alibi (1969), This Kind of Love (Questa specie d'amore, 1972), Winged Devils (Forza "G", 1972), and Fiorina la vacca (1972). His best-known scores for comedies includes La Cage aux Folles (1978) and La Cage aux Folles II (1980), both directed by Édouard Molinaro, Il ladrone (The Good Thief, 1980), Georges Lautner's La Cage aux Folles 3: The Wedding (1985), Pedro Almodóvar's Tie Me Up! Tie Me Down! (1990) and Warren Beatty's Bulworth (1998). Morricone never ceased to arrange and write music for comedies. In 2007, he composed a lighthearted score for the Italian romantic comedy Tutte le Donne della mia Vita by Simona Izzo, the director who co-wrote the Morricone-scored religious mini-series Il Papa Buono. Westerns Although his first films were undistinguished, Morricone's arrangement of an American folk song intrigued director and former schoolmate Sergio Leone. Before being associated with Leone, Morricone already had composed some music for less-known western movies such as Duello nel Texas (aka Gunfight at Red Sands) (1963). In 1962, Morricone met American folksinger Peter Tevis, with the two collaborating on a version of Woody Guthrie's Pastures of Plenty. Tevis is credited with singing the lyrics of Morricone's songs such as "A Gringo Like Me" (from Gunfight at Red Sands) and "Lonesome Billy" (from Bullets Don't Argue). Tevis later recorded a vocal version of A Fistful of Dollars that was not used in the film. Association with Sergio Leone The turning point in Morricone's career took place in 1964, the year in which his third child, Andrea Morricone, who would also become a film composer, was born. Film director Sergio Leone hired Morricone, and together they created a distinctive score to accompany Leone's different version of the Western, A Fistful of Dollars (1964). The Dollars Trilogy Because budget strictures limited Morricone's access to a full orchestra, he used gunshots, cracking whips, whistle, voices, jew's harp, trumpets, and the new Fender electric guitar, instead of orchestral arrangements of Western standards à la John Ford. Morricone used his special effects to punctuate and comically tweak the action—cluing in the audience to the taciturn man's ironic stance. As memorable as Leone's close-ups, harsh violence, and black comedy, Morricone's work helped to expand the musical possibilities of film scoring. Initially, Morricone was billed on the film as Dan Savio. A Fistful of Dollars came out in Italy in 1964 and was released in America three years later, greatly popularising the so-called Spaghetti Western genre. For the American release, Sergio Leone and Ennio Morricone decided to adopt American-sounding names, so they called themselves respectively, Bob Robertson and Dan Savio. Over the film's theatrical release, it grossed more than any other Italian film up to that point. The film debuted in the United States in January 1967, where it grossed for the year. It eventually grossed $14.5 million in its American release, against its budget of 200,000. With the score of A Fistful of Dollars, Morricone began his 20-year collaboration with his childhood friend Alessandro Alessandroni and his Cantori Moderni. Alessandroni provided the whistling and the twanging guitar on the film scores, while his Cantori Moderni were a flexible troupe of modern singers. Morricone specifically exploited the solo soprano of the group, Edda Dell'Orso, at the height of her powers "an extraordinary voice at my disposal". The composer subsequently scored Leone's other two Dollars Trilogy (or Man with No Name Trilogy) spaghetti westerns: For a Few Dollars More (1965) and The Good, the Bad, and the Ugly (1966). All three films starred the American actor Clint Eastwood as The Man With No Name and depicted Leone's own intense vision of the mythical West. Morricone commented in 2007: "Some of the music was written before the film, which was unusual. Leone's films were made like that because he wanted the music to be an important part of it; he kept the scenes longer because he did not want the music to end." According to Morricone this explains "why the films are so slow". Despite the small film budgets, the Dollars Trilogy was a box-office success. The available budget for The Good, the Bad, and The Ugly was about 1.2 million, but it became the most successful film of the Dollars Trilogy, grossing 25.1 million in the United States and more than 2,3 billion lire (1,2 million EUR) in Italy alone. Morricone's score became a major success and sold more than three million copies worldwide. On 14 August 1968 the original score was certified by the RIAA with a golden record for the sale of 500,000 copies in the United States alone. The main theme to The Good, the Bad, and The Ugly, also titled "The Good, the Bad and the Ugly", was a hit in 1968 for Hugo Montenegro, whose rendition was a No.2 Billboard pop single in the U.S. and a U.K. No.1 single (for four weeks from mid-November that year). "The Ecstasy of Gold" became one of Morricone's best-known compositions. The opening scene of Jeff Tremaine's Jackass Number Two (2006), in which the cast is chased through a suburban neighbourhood by bulls, is accompanied by this piece. While punk rock band The Ramones used "The Ecstasy of Gold" as a closing theme during their live performances, Metallica uses "The Ecstasy of Gold" as the introductory music for its concerts since 1983. This composition is also included on Metallica's live symphonic album S&M as well as the live album Live Shit: Binge & Purge. An instrumental metal cover by Metallica (with minimal vocals by lead singer James Hetfield) appeared on the 2007 Morricone tribute album We All Love Ennio Morricone. This metal version was nominated for a Grammy Award in the category of Best Rock Instrumental Performance. In 2009, the Grammy Award-winning hip-hop artist Coolio extensively sampled the theme for his song "Change". Once Upon a Time in the West and others Subsequent to the success of the Dollars trilogy, Morricone also composed the scores for Once Upon a Time in the West (1968) and Leone's last credited western film A Fistful of Dynamite (1971), as well as the score for My Name Is Nobody (1973). Morricone's score for Once Upon a Time in the West is one of the best-selling original instrumental scores in the world today, with as many as 10 million copies sold, including one million copies in France, and more than 800,000 copies in the Netherlands. One of the main themes from the score, "A Man with Harmonica" (L'uomo Dell'armonica), became known worldwide and sold more than 1,260,000 copies in France. The collaboration with Leone is considered one of the exemplary collaborations between a director and a composer. Morricone's last score for Leone was for his last film, the gangster drama Once Upon a Time in America (1984). Leone died on 30 April 1989 of a heart attack at the age of 60. Before his death in 1989, Leone was part-way through planning a film on the Siege of Leningrad, set during World War II. By 1989, Leone had been able to acquire 100 million in financing from independent backers for the war epic. He had convinced Morricone to compose the film score. The project was cancelled when Leone died two days before he was to officially sign on for the film. In early 2003, Italian filmmaker Giuseppe Tornatore announced he would direct a film called Leningrad. The film has yet to go into production and Morricone was cagey as to details on account of Tornatore's superstitious nature. Association with Sergio Corbucci and Sergio Sollima Two years after the start of his collaboration with Sergio Leone, Morricone also started to score music for another Spaghetti Western director, Sergio Corbucci. The composer wrote music for Corbucci's Navajo Joe (1966), The Hellbenders (1967), The Mercenary/The Professional Gun (1968), The Great Silence (1968), Compañeros (1970), Sonny and Jed (1972), and What Am I Doing in the Middle of the Revolution? (1972). In addition, Morricone composed music for the western films by Sergio Sollima, The Big Gundown (with Lee Van Cleef, 1966), Face to Face (1967), and Run, Man, Run (1968), as well as the 1970 crime thriller Violent City (with Charles Bronson) and the poliziottesco film Revolver (1973). Other westerns Other relevant scores for less popular Spaghetti Westerns include Duello nel Texas (1963), Bullets Don't Argue (1964), A Pistol for Ringo (1965), The Return of Ringo (1965), Seven Guns for the MacGregors (1966), The Hills Run Red (1966), Giulio Petroni's Death Rides a Horse (1967) and Tepepa (1968), A Bullet for the General (1967), Guns for San Sebastian (with Charles Bronson and Anthony Quinn, 1968), A Sky Full of Stars for a Roof (1968), The Five Man Army (1969), Don Siegel's Two Mules for Sister Sara (1970), Life Is Tough, Eh Providence? (1972), and Buddy Goes West (1981). Dramas and political movies With Leone's films, Ennio Morricone's name had been put firmly on the map. Most of Morricone's film scores of the 1960s were composed outside the Spaghetti Western genre, while still using Alessandroni's team. Their music included the themes for Il Malamondo (1964), Slalom (1965), and Listen, Let's Make Love (1967). In 1968, Morricone reduced his work outside the movie business and wrote scores for 20 films in the same year. The scores included psychedelic accompaniment for Mario Bava's superhero romp Danger: Diabolik (1968). Morricone collaborated with Marco Bellocchio (Fists in the Pocket, 1965), Gillo Pontecorvo (The Battle of Algiers (1966), and Queimada! (1969) with Marlon Brando), Roberto Faenza (H2S, 1968), Giuliano Montaldo (Sacco e Vanzetti, 1971), Giuseppe Patroni Griffi ('Tis Pity She's a Whore, 1971), Mauro Bolognini (Drama of the Rich, 1974), Umberto Lenzi (Almost Human, 1974), Pier Paolo Pasolini (Salò, or the 120 Days of Sodom, 1975), Bernardo Bertolucci (Novecento, 1976), and Tinto Brass (The Key, 1983). In 1970, Morricone wrote the score for Violent City. That same year, he received his first Nastro d'Argento for the music in Metti, una sera a cena (Giuseppe Patroni Griffi, 1969) and his second only a year later for Sacco e Vanzetti (Giuliano Montaldo, 1971), in which he collaborated with the legendary American folk singer and activist Joan Baez. His soundtrack for Sacco e Vanzetti contains another well-known composition by Morricone, the folk song "Here's to You", sung by Joan Baez. For the writing of the lyrics, Baez was inspired by a letter from Bartolomeo Vanzetti: "Father, yes, I am a prisoner / Fear not to relay my crime". The song became a hit in several countries, selling more than 790,000 copies in France only. The song was later included in movies such as The Life Aquatic with Steve Zissou. In the beginning of the 1970s, Morricone achieved success with other singles, including A Fistful of Dynamite (1971) and God With Us (1974), having sold respectively 477,000 and 378,000 copies in France only. Giallo and Horror Morricone's eclecticism found its way to films in the horror genre, such as the giallo thrillers of Dario Argento, from The Bird with the Crystal Plumage (1970), The Cat o' Nine Tails (1971), and Four Flies on Grey Velvet (1971) to The Stendhal Syndrome (1996) and The Phantom of the Opera (1998). His other horror scores include Nightmare Castle (1965), A Quiet Place in the Country (1968), The Antichrist (1974), Autopsy (1975), and Night Train Murders (1975). In addition, Morricone composed music for many popular and cult Italian giallo films, such as Senza sapere niente di lei (1969), Forbidden Photos of a Lady Above Suspicion (1970), A Lizard in a Woman's Skin (1971), Cold Eyes of Fear (1971), The Fifth Cord (1971), Short Night of Glass Dolls (1971), Black Belly of the Tarantula (1971) My Dear Killer (1972), What Have You Done to Solange? (1972), Who Saw Her Die? (1972), and Spasmo (1974). In 1977 Morricone scored John Boorman's Exorcist II: The Heretic and Alberto De Martino's apocalyptic horror film Holocaust 2000, starring Kirk Douglas. In 1982 he composed the score for John Carpenter's science fiction horror movie The Thing. Morricone's main theme for the film was reflected in Marco Beltrami's film's score of prequel of the 1982 film, which was released in 2011. Hollywood career The Dollars Trilogy was not released in the United States until 1967 when United Artists, who had already enjoyed success distributing the British-produced James Bond films in the United States, decided to release Sergio Leone's Spaghetti Westerns. The American release gave Morricone an exposure in America and his film music became quite popular in the United States. One of Morricone's first contributions to an American director concerned his music for the religious epic film The Bible: In the Beginning... by John Huston. According to Sergio Miceli's book Morricone, la musica, il cinema, Morricone wrote about 15 or 16 minutes of music, which were recorded for a screen test and conducted by Franco Ferrara. At first Morricone's teacher Goffredo Petrassi had been engaged to write the score for the great big-budget epic, but Huston preferred another composer. RCA Records then proposed Morricone who was under contract with them, but a conflict between the film's producer Dino De Laurentiis and RCA occurred. The producer wanted to have exclusive rights for the soundtrack, while RCA still had the monopoly on Morricone at that time and did not want to release the composer. Subsequently, Morricone's work was rejected because he did not get permission from RCA to work for Dino De Laurentiis alone. The composer reused the parts of his unused score for The Bible: In the Beginning in such films as The Return of Ringo (1965) by Duccio Tessari and Alberto Negrin's The Secret of the Sahara (1987). Morricone never left Rome to compose his music and never learned to speak English. But given that the composer always worked in a wide field of composition genres, from "absolute music", which he always produced, to "applied music", working as orchestrator as well as conductor in the recording field, and then as a composer for theatre, radio, and cinema, the impression arises that he never really cared that much about his standing in the eyes of Hollywood. 1970–1985: From Two Mules to Red Sonja In 1970, Morricone composed the music for Don Siegel's Two Mules for Sister Sara, an American-Mexican western film starring Shirley MacLaine and Clint Eastwood. The same year the composer also delivered the title theme The Men from Shiloh for the American Western television series The Virginian. In 1974–1975 Morricone wrote music for Spazio 1999, an Italian-produced compilation movie made to launch the Italian-British television series Space: 1999, while the original episodes featured music by Barry Gray. A soundtrack album was only released on CD in 2016 and on LP in 2017. In 1975 he scored the George Kennedy revenge thriller The "Human" Factor, which was the final film of director Edward Dmytryk. Two years later he composed the score for the sequel to William Friedkin's 1973 film The Exorcist, directed by John Boorman: Exorcist II: The Heretic. The horror film was a major disappointment at the box office. The film grossed 30,749,142 in the United States. In 1978, the composer worked with Terrence Malick for Days of Heaven starring Richard Gere, for which he earned his first nomination at the Oscars for Best Original Score. Despite the fact that Morricone had produced some of the most popular and widely imitated film music ever written throughout the 1960s and 1970s, Days of Heaven earned him his first Oscar nomination for Best Original Score, with his score up against Jerry Goldsmith's The Boys from Brazil, Dave Grusin's Heaven Can Wait, Giorgio Moroder's Midnight Express (the eventual winner), and John Williams's Superman: The Movie at the Oscar ceremonies in 1979. 1986–2020: From The Mission to The Hateful Eight Association with Roland Joffé The Mission, directed by Joffé, was about a piece of history considerably more distant, as Spanish Jesuit missionaries see their work undone as a tribe of Paraguayan natives fall within a territorial dispute between the Spanish and Portuguese. At one point the score was one of the world's best-selling film scores, selling over 3 million copies worldwide. Morricone finally received a second Oscar nomination for The Mission. Morricone's original score lost out to Herbie Hancock's coolly arranged jazz on Bertrand Tavernier's Round Midnight. It was considered a surprising win and a controversial one, given that much of the music in the film was pre-existing. Morricone stated the following during a 2001 interview with The Guardian: "I definitely felt that I should have won for The Mission. Especially when you consider that the Oscar winner that year was Round Midnight, which was not an original score. It had a very good arrangement by Herbie Hancock, but it used existing pieces. So there could be no comparison with The Mission. There was a theft!" His score for The Mission was ranked at number 1 in a poll of the all-time greatest film scores. The top 10 list was compiled by 40 film composers such as Michael Giacchino and Carter Burwell. The score is ranked 23rd on the AFI's list of 25 greatest film scores of all time. Association with De Palma and Levinson On three occasions, Brian De Palma worked with Morricone: The Untouchables (1987), the 1989 war drama Casualties of War and the science fiction film Mission to Mars (2000). Morricone's score for The Untouchables resulted in his third nomination for Academy Award for Best Original Score. In a 2001 interview with The Guardian, Morricone stated that he had good experiences with De Palma: "De Palma is delicious! He respects music, he respects composers. For The Untouchables, everything I proposed to him was fine, but then he wanted a piece that I didn't like at all, and of course, we didn't have an agreement on that. It was something I didn't want to write – a triumphal piece for the police. I think I wrote nine different pieces for this in total and I said, 'Please don't choose the seventh!' because it was the worst. And guess what he chose? The seventh one. But it really suits the movie." Another American director, Barry Levinson, commissioned the composer on two occasions. First, for the crime-drama Bugsy, starring Warren Beatty, which received ten Oscar nominations, winning two for Best Art Direction-Set Decoration (Dennis Gassner, Nancy Haigh) and Best Costume Design. "He doesn't have a piano in his studio, I always thought that with composers, you sit at the piano, and you try to find the melody. There's no such thing with Morricone. He hears a melody, and he writes it down. He hears the orchestration completely done", said Levinson in an interview. Other notable Hollywood scores During his career in Hollywood, Morricone was approached for numerous other projects, including the Gregory Nava drama A Time of Destiny (1988), Frantic by Polish-French director Roman Polanski (1988, starring Harrison Ford), Franco Zeffirelli's 1990 drama film Hamlet (starring Mel Gibson and Glenn Close), the neo-noir crime film State of Grace by Phil Joanou (1990, starring Sean Penn and Ed Harris), Rampage (1992) by William Friedkin, and the romantic drama Love Affair (1994) by Warren Beatty. Association with Quentin Tarantino In 2009, Tarantino originally wanted Morricone to compose the film score for Inglourious Basterds. Morricone was unable to, because the film's sped-up production schedule conflicted with his scoring of Giuseppe Tornatore's Baarìa. However, Tarantino did use eight tracks composed by Morricone in the film, with four of them included on the soundtrack. The tracks came originally from Morricone's scores for The Big Gundown (1966), Revolver (1973) and Allonsanfàn (1974). In 2012, Morricone composed the song "Ancora Qui" with lyrics by Italian singer Elisa for Tarantino's Django Unchained, a track that appeared together with three existing music tracks composed by Morricone on the soundtrack. "Ancora Qui" was one of the contenders for an Academy Award nomination in the Best Original Song category, but eventually the song was not nominated. On 4 January 2013 Morricone presented Tarantino with a Life Achievement Award at a special ceremony being cast as a continuation of the International Rome Film Festival. In 2014, Morricone was misquoted as claiming that he would "never work" with Tarantino again, and later agreed to write an original film score for Tarantino's The Hateful Eight, which won him an Academy Award in 2016 in the Best Original Score category. His nomination for this film marked him at that time as the second oldest nominee in Academy history, behind Gloria Stuart. Morricone's win marked his first competitive Oscar, and at the age of 87, he became the oldest person at the time to win a competitive Oscar. Composer for Giuseppe Tornatore In 1988, Morricone started an ongoing and very successful collaboration with Italian director Giuseppe Tornatore. His first score for Tornatore was for the drama film Cinema Paradiso. The international version of the film won the Special Jury Prize at the 1989 Cannes Film Festival and the 1989 Best Foreign Language Film Oscar. Morricone received a BAFTA award with his son Andrea, and a David di Donatello for his score. In 2002, the director's cut 173-minute version was released (known in the US as Cinema Paradiso: The New Version). After the success of Cinema Paradiso, the composer wrote the music for all subsequent films by Tornatore: the drama film Everybody's Fine (Stanno Tutti Bene, 1990), A Pure Formality (1994) starring Gérard Depardieu and Roman Polanski, The Star Maker (1995), The Legend of 1900 (1998) starring Tim Roth, the 2000 romantic drama Malèna (which featured Monica Bellucci) and the psychological thriller mystery film La sconosciuta (2006). Morricone also composed the scores for Baarìa (2009), The Best Offer (2013) starring Geoffrey Rush, Jim Sturgess and Donald Sutherland and the romantic drama The Correspondence (2015) The composer won several music awards for his scores in Tornatore's movies. Morricone received a fifth Academy Award nomination and a Golden Globe nomination for Malèna. For Legend of 1900, he won a Golden Globe Award for Best Original Score. In September 2021 Tornatore presented out of competition at the 78th Venice International Film Festival a documentary film about Morricone, Ennio. Television series and last works Morricone wrote the score for the Mafia television series La piovra seasons 2 to 10 from 1985 to 2001, including the themes "Droga e sangue" ("Drugs and Blood"), "La Morale", and "L'Immorale". Morricone worked as the conductor of seasons 3 to 5 of the series. He also worked as the music supervisor for the television project La bibbia ("The Bible"). In the late 1990s, he collaborated with his son Andrea on the Ultimo crime dramas, resulting in Ultimo (1998), Ultimo 2 – La sfida (1999), Ultimo 3 – L'infiltrato (2004) and Ultimo 4 – L'occhio del falco (2013). For Canone inverso (2000) based on the music-themed novel of the same name by the Paolo Maurensig, directed by Ricky Tognazzi and starring Hans Matheson, Morricone won Best Score awards in the David di Donatello Awards and Silver Ribbons. In the 2000s, Morricone continued to compose music for successful television series such as Il Cuore nel Pozzo (2005), Karol: A Man Who Became Pope (2005), La provinciale (2006), Giovanni Falcone (2007), Pane e libertà (2009) and Come Un Delfino 1–2 (2011–2013). Morricone provided the string arrangements on Morrissey's "Dear God Please Help Me" from the album Ringleader of the Tormentors in 2006. In 2008, the composer recorded music for a Lancia commercial, featuring Richard Gere and directed by Harald Zwart (known for directing The Pink Panther 2). In spring and summer 2010, Morricone worked with Hayley Westenra for a collaboration on her album Paradiso. The album features new songs written by Morricone, as well as some of his best-known film compositions of the last 50 years. Westenra recorded the album with Morricone's orchestra in Rome during the summer of 2010. Since 1995, he composed the music for several advertising campaigns of Dolce & Gabbana. The commercials were directed by Giuseppe Tornatore. In 2013, Morricone collaborated with Italian singer-songwriter Laura Pausini on a new version of her hit single "La solitudine" for her 20 years anniversary greatest hits album 20 – The Greatest Hits. Morricone composed the music for The Best Offer (2013) by Giuseppe Tornatore. He wrote the score for Christian Carion's En mai, fais ce qu'il te plait (2015) and the most recent movie by Tornatore: The Correspondence (2016), featuring Jeremy Irons and Olga Kurylenko. In July 2015, Quentin Tarantino announced after the screening of footage of his movie The Hateful Eight at the San Diego Comic-Con International that Morricone would score the film, the first Western that Morricone scored since 1981. The score was critically acclaimed and won several awards including the Golden Globe Award for Best Original Score and the Academy Award for Best Original Score. Live performances Before receiving his diplomas in trumpet, composition and instrumentation from the conservatory, Morricone was already active as a trumpet player, often performing in an orchestra that specialised in music written for films. After completing his education at Saint Cecilia, the composer honed his orchestration skills as an arranger for Italian radio and television. In order to support himself, he moved to RCA in the early sixties and entered the front ranks of the Italian recording industry. Since 1964, Morricone was also a founding member of the Rome-based avant-garde ensemble Gruppo di Improvvisazione Nuova Consonanza. During the existence of the group (until 1978), Morricone performed several times with the group as trumpet player. To ready his music for live performance, he joined smaller pieces of music together into longer suites. Rather than single pieces, which would require the audience to applaud every few minutes, Morricone thought the best idea was to create a series of suites lasting from 15 to 20 minutes, which form a sort of symphony in various movements – alternating successful pieces with personal favourites. In concert, Morricone normally had 180 to 200 musicians and vocalists under his baton, performing multiple genre-crossing collections of music. Rock, symphonic and ethnic instruments share the stage. On 20 September 1984 Morricone conducted the Orchestre national des Pays de la Loire at Cinésymphonie '84 ("Première nuit de la musique de film/First night of film music") in the French concert hall Salle Pleyel in Paris. He performed some of his best-known compositions such as Metti, una sera a cena, Novecento and The Good, the Bad and the Ugly. Michel Legrand and Georges Delerue performed on the same evening. On 15 October 1987 Morricone gave a concert in front of 12,000 people in the Sportpaleis in Antwerp, Belgium, with the Dutch Metropole Orchestra and the Italian operatic soprano Alide Maria Salvetta. A live-album with a recording of this concert was released in the same year. On 9 June 2000 Morricone went to the Flanders International Film Festival Ghent to conduct his music together with the National Orchestra of Belgium. During the concert's first part, the screening of The Life and Death of King Richard III (1912) was accompanied with live music by Morricone. It was the very first time that the score was performed live in Europe. The second part of the evening consisted of an anthology of the composer's work. The event took place on the eve of Euro 2000, the European Football Championship in Belgium and the Netherlands. Morricone performed over 250 concerts as of 2001. The composer started a world tour in 2001, the latter part sponsored by Giorgio Armani, with the Orchestra Roma Sinfonietta, touring London (Barbican 2001; 75th birthday Concerto, Royal Albert Hall 2003), Paris, Verona, and Tokyo. Morricone performed his classic film scores at the Gasteig in Munich in 2004. He made his North American concert debut on 3 February 2007 at Radio City Music Hall in New York City. The previous evening, Morricone had already presented at the United Nations a concert comprising some of his film themes, as well as the cantata Voci dal silenzio to welcome the new Secretary-General Ban Ki-Moon. A Los Angeles Times review bemoaned the poor acoustics and opined of Morricone: "His stick technique is adequate, but his charisma as a conductor is zero." On 22 December 2012 Morricone conducted the 85-piece Belgian orchestra "Orkest der Lage Landen" and a 100-piece choir during a two-hour concert in the Sportpaleis in Antwerp. In November 2013 Morricone began a world tour to coincide with the 50th anniversary of his film music career and performed in locations such as the Crocus City Hall in Moscow, Santiago, Chile, Berlin, Germany (O2 World, Germany), Budapest, Hungary, and Vienna (Stadhalle). Back in June 2014, Morricone had to cancel a US tour in New York (Barclays Center) and Los Angeles (Nokia Theatre LA Live) due to a back procedure on 20 February. Morricone postponed the rest of his world tour. In November 2014 Morricone stated that he would resume his European tour starting from February 2015. Personal life and death On 13 October 1956, Morricone married Maria Travia (born 31 December 1932), whom he had met in 1950. Travia wrote lyrics to complement her husband's pieces. Her works include the Latin texts for The Mission. Together, they had four children: Marco (b. 1957), Alessandra (b. 1961), conductor and film composer Andrea (b. 1964) and filmmaker Giovanni (b. 1966), who lives in New York City. They remained married for 63 years until his death. Morricone lived in Italy his entire life and never desired to live in Hollywood. He was among hundreds of artists whose material was destroyed in the 2008 Universal fire. Morricone described himself as a Christian leftist, stating that he voted for the Christian Democracy (DC) for more than 40 years and then, after its dissolution in 1994, he approached the centre-left coalition. Morricone loved chess, having learned the game when he was 11. Before his musical career took off, he played in club tournaments in Rome in the mid-1950s. His first official tournament was in 1964, where he won a prize in the third category for amateurs. He was even coached by 12-time Italian champion IM Stefano Tatai for a while. Soon he got too busy for chess, but he would always keep a keen interest in the game and estimated his peak Elo rating to be nearly 1700. Over the years, Morricone played chess with many big names including GMs Garry Kasparov, Anatoly Karpov, Judit Polgar, and Peter Leko. He once held GM Boris Spassky to a draw in a simultaneous competition with 27 players, where Morricone was the last one standing. On 6 July 2020, Morricone died at the Università Campus Bio-Medico in Rome, aged 91, as a result of injuries sustained to his femur during a fall. Influence Ennio Morricone influenced many artists from other styles and genres, including Danger Mouse, Dire Straits, Muse, Metallica, Radiohead and Hans Zimmer. Morricone's influence extends into the realm of pop music. Hugo Montenegro had a hit with a version of the main theme from The Good, the Bad and the Ugly in both the United Kingdom and the United States. This was followed by his album of Morricone's music in 1968. Morricone's film music was also recorded by many artists. John Zorn recorded an album of Morricone's music, The Big Gundown, with Keith Rosenberg in the mid-1980s. Morricone's Sergio Leone Suite of haunting melodies from the scores he composed for several of the films by Leone, and performed by Morricone, Roma Sinfonietta Orchestra, and Yo-Yo Ma on cello, was recorded by CBS/Sony (93456) and is featured on Classical radio stations such as WSMR, a Sarasota, Florida radio station. Morricone collaborated with world music artists, such as Portuguese fado singer Dulce Pontes (in 2003 with Focus, an album praised by Paulo Coelho and where his songbook can be sampled) and virtuoso cellist Yo-Yo Ma (in 2004), who both recorded albums of Morricone classics with the Roma Sinfonietta Orchestra and Morricone himself conducting. The album Yo-Yo Ma Plays Ennio Morricone sold more than 130,000 copies in 2004. Metallica uses Morricone's "The Ecstasy of Gold" as an intro at their concerts (shock jocks Opie and Anthony also used the song at the start of their XM Satellite Radio and CBS Radio shows.) The San Francisco Symphony Orchestra also played it on Metallica's live albums S&M and S&M2. The theme from A Fistful of Dollars is also used as a concert intro by The Mars Volta. Morricone inspired the namesake of Morricone Youth, a New York band dedicated to playing music from film and television, founded by musician and radio host Devon E. Levins in 1999. In addition to composers like Lalo Schifrin and Jerry Goldsmith, the band has performed music from a large spectrum of Morricone's film career, ranging from his work in the spaghetti westerns to The Exorcist II, as well as original Morricone-inspired pieces. The Spaghetti Western Orchestra is an Australian tribute band started in 2004. Radiohead drew inspiration from the recording style of Morricone for their 1997 album OK Computer. Singer and composer Mike Patton was heavily influenced by Morricone's more experimental oeuvre and in 2005 he commissioned a compilation album, Crime and Dissonance, of the lesser-known soundtracks by "E Maestro" that was released on his own Ipecac Recordings label. Gnarls Barkley's hit single "Crazy" (2006) was musically inspired by Morricone. Muse cites Morricone as an influence for the songs "City of Delusion", "Hoodoo", and "Knights of Cydonia" on their 2006 album Black Holes and Revelations. The band went on to perform the song "Man with a Harmonica" live played by Chris Wolstenholme, as an intro to "Knights of Cydonia". In 2007, the tribute album We All Love Ennio Morricone was released, featuring performances by various artists, including Sarah Brightman, Andrea Bocelli, Celine Dion, Bruce Springsteen and Metallica. Alex Turner has noted Morricone's influence on his writing, in particular on The Last Shadow Puppets album The Age of the Understatement of 2008. "Lovers on the Sun", a song released in 2014 by French music producer David Guetta, is influenced by Morricone's western scores. The Prodigy repurposed Morricone's score from 1966's La Resa Dei Conti (Seconda Caccia) for "The Big Gundown" on 2009's Invaders Must Die. Anna Calvi has cited Morricone as an influence. Discography Morricone sold well over 70 million records worldwide during his career that spanned over seven decades, including 6.5 million albums and singles in France, over three million in the United States and more than two million albums in South Korea. In 1971, the composer received his first golden record (disco d'oro) for the sale of 1,000,000 records in Italy and a "Targa d'Oro" (it) for the worldwide sales of 22 million. Selected long-time collaborations with directors Prizes and awards Morricone received his first Academy Award nomination in 1979 for the score to Days of Heaven (Terrence Malick, 1978). He received his second Oscar nomination for The Mission. He also received Oscar nominations for his scores to The Untouchables (1987), Bugsy (1991), Malèna (2000), and The Hateful Eight (2016). In February 2016, Morricone won his first competitive Academy Award for his score to The Hateful Eight. Morricone and Alex North are the only composers to receive the Academy Honorary Award since its introduction in 1928. He received the award in February 2007, "for his magnificent and multifaceted contributions to the art of film music." In 2005, four film scores by Ennio Morricone were nominated by the American Film Institute for an honoured place in the AFI's Top 25 of Best American Film Scores of All Time. His score for The Mission was ranked 23rd in the Top 25 list. Morricone was nominated seven times for a Grammy Award. In 2009 The Recording Academy inducted his score for The Good, the Bad, and the Ugly (1966) into the Grammy Hall of Fame. In 2010 Ennio Morricone and Icelandic singer Björk have won the Polar Music Prize. The Polar Music Prize is Sweden's biggest music award and is typically shared by a pop artist and a classical musician. It was founded by Stig Anderson, manager of Swedish pop group ABBA, in 1989. A Variety poll of 40 top current film composers selected The Mission as the greatest film score of all time. General sources Morricone, Ennio; De Rosa, Alessandro. "Ennio Morricone: In His Own Words. Ennio Morricone in conversation with Alessandro De Rosa". Translated from the Italian by M. Corbella. Oxford University Press (2019-2020). Horace, B. Music from the Movies, film music journal double issue 45/46, 2005: Miceli, Sergio. Morricone, la musica, il cinema. Milan: Mucchi/Ricordi, 1994: Miceli, Sergio. "Morricone, Ennio". The New Grove Dictionary of Music and Musicians, 2nd edition, edited by Stanley Sadie and John Tyrrell. London: Macmillan Publishers. Poppi, R., M. Pecorari. Dizionario del cinema italiano. I film vol. 3. Dal 1960 al 1969. Gremese, 1993: . Poppi, R., M. Pecorari. Dizionario del cinema italiano. I film vol. 4. Dal 1970 al 1979* A/L. Gremese, 1996: . Poppi, R., M. Pecorari. Dizionario del cinema italiano. I film vol. 4. Dal 1970 al 1979** M/Z. Gremese, 1996: . Poppi, R., M. Pecorari. Dizionario del cinema italiano. I film vol. 5. Dal 1980 al 1989* A/L. Gremese, 2000: . Poppi, R., M. Pecorari. Dizionario del cinema italiano. I film vol. 5. Dal 1980 al 1989** M/Z. Gremese, 2000: . Notes References Further reading Morricone, Ennio; De Rosa, Alessandro. "Ennio Morricone: In His Own Words. Ennio Morricone in conversation with Alessandro De Rosa". Translated from the Italian by M. Corbella. Oxford University Press (2019-2020). Lhassa, Anne, and Jean Lhassa: Ennio Morricone: biographie. Les Planches. Lausanne: Favre; [Paris]: [diff. Inter-forum], 1989. . Sorbo, Lorenzo: 'The Dramatic Functions of Italian Spaghetti Western Soundtracks: A Comparison between Ennio Morricone and Francesco De Masi' In: Wagner, Thorsten. "Improvisation als 'weiteste Ausdehnung des Begriffs der aleatorischen Musik': Franco Evangelisti und die Improvisationsgruppe Nuova Consonanza". In ... hin zu einer neuen Welt: Notate zu Franco Evangelisti, edited by Harald Muenz.48–60, 2002. Saarbrücken: Pfau-Verlag. . Webb, Michael D. Italian 20th Century Music: The Quest for Modernity. London: Kahn & Averill. . Wenguang Han: Ennio Morricone Fans Handbook, 2013 (China). Sorce Keller, Marcello. “The Morricone Paradox: A Film Music Genius Who Missed Writing Symphonies”. Asian-European Music Research Journal (AEMR). 6 (2020): 111–113. External links Ennio Morricone Myspace Streaming audio of Morricone's "The Man with the Harmonica", from his soundtrack to Once upon a Time in the West 1928 births 2020 deaths 20th-century classical composers 20th-century Italian composers 20th-century Italian conductors (music) 20th-century Italian male musicians 21st-century classical composers 21st-century Italian composers 21st-century Italian conductors (music) 21st-century Italian male musicians Academy Honorary Award recipients Accidental deaths in Italy Best Original Music BAFTA Award winners Best Original Music Score Academy Award winners Conservatorio Santa Cecilia alumni David di Donatello winners Deaths from falls European Film Award for Best Composer winners Golden Globe Award-winning musicians Grammy Award winners Italian classical composers Italian film score composers Italian male classical composers Italian male conductors (music) Italian music arrangers Italian male film score composers Male television composers Musicians from Rome Nastro d'Argento winners People of Lazian descent Recipients of the Italian Order of Merit for Culture and Art Spaghetti Western composers Third Man Records artists Virgin Records artists
10292
https://en.wikipedia.org/wiki/Louis%20Mountbatten%2C%201st%20Earl%20Mountbatten%20of%20Burma
Louis Mountbatten, 1st Earl Mountbatten of Burma
Louis Francis Albert Victor Nicholas Mountbatten, 1st Earl Mountbatten of Burma (25 June 1900 – 27 August 1979), born and known until 1917 as Prince Louis of Battenberg, then named until 1946 Lord Louis Mountbatten, and then named until 1947 as The Viscount Mountbatten of Burma, was a member of the British royal family, Royal Navy officer and statesman, a maternal uncle of Prince Philip, Duke of Edinburgh, and second cousin once removed of Queen Elizabeth II. During the Second World War, he was Supreme Allied Commander, South East Asia Command. He was the last Viceroy of India of British India, and the first governor-general of the Dominion of India. Born in Windsor to the prominent Battenberg family, Mountbatten attended the Royal Naval College, Osborne, before entering the Royal Navy in 1916. He saw action during the closing phase of the First World War, and after the war briefly attended Christ's College, Cambridge. During the interwar period, Mountbatten continued to pursue his naval career, specialising in naval communications. Following the outbreak of the Second World War, Mountbatten commanded the destroyer and the 5th Destroyer Flotilla. He saw considerable action in Norway, in the English Channel, and in the Mediterranean. In August 1941, he received command of the aircraft carrier . He was appointed chief of Combined Operations and a member of the Chiefs of Staff Committee in early 1942, and organised the raids on St Nazaire and Dieppe. In August 1943, Mountbatten became Supreme Allied Commander South East Asia Command and oversaw the recapture of Burma and Singapore from the Japanese by the end of 1945. For his service during the war, Mountbatten was created viscount in 1946 and earl the following year. In March 1947, Mountbatten was appointed Viceroy of India and oversaw the Partition of British India into India and Pakistan. He then served as the first Governor-General of India until June 1948. In 1952, Mountbatten was appointed commander-in-chief of the British Mediterranean Fleet and NATO Commander Allied Forces Mediterranean. From 1955 to 1959, he was First Sea Lord, a position that had been held by his father, Prince Louis of Battenberg, some forty years earlier. Thereafter he served as chief of the Defence Staff until 1965, making him the longest-serving professional head of the British Armed Forces to date. During this period Mountbatten also served as chairman of the NATO Military Committee for a year. In August 1979, Mountbatten was assassinated by a bomb planted aboard his fishing boat in Mullaghmore, County Sligo, Ireland, by members of the Provisional Irish Republican Army. He received a ceremonial funeral at Westminster Abbey and was buried in Romsey Abbey in Hampshire. Early life Mountbatten, then named Prince Louis of Battenberg, was born on 25 June 1900 at Frogmore House in the Home Park, Windsor, Berkshire. He was the youngest child and the second son of Prince Louis of Battenberg and his wife Princess Victoria of Hesse and by Rhine. Mountbatten's maternal grandparents were Louis IV, Grand Duke of Hesse, and Princess Alice of the United Kingdom, who was a daughter of Queen Victoria and Prince Albert of Saxe-Coburg and Gotha. His paternal grandparents were Prince Alexander of Hesse and by Rhine and Julia, Princess of Battenberg. Mountbatten's paternal grandparents' marriage was morganatic because his grandmother was not of royal lineage; as a result, he and his father were styled "Serene Highness" rather than "Grand Ducal Highness", were not eligible to be titled Princes of Hesse, and were given the less exalted Battenberg title. Mountbatten's elder siblings were Princess Alice of Battenberg (later Princess Andrew of Greece and Denmark, mother of Prince Philip, Duke of Edinburgh), Princess Louise of Battenberg (later Queen Louise of Sweden), and Prince George of Battenberg (later George Mountbatten, 2nd Marquess of Milford Haven). Mountbatten was baptised in the large drawing room of Frogmore House on 17 July 1900 by the Dean of Windsor, Philip Eliot. His godparents were Queen Victoria, Nicholas II of Russia (represented by the child's father) and Prince Francis Joseph of Battenberg (represented by Lord Edward Clinton). He wore the original 1841 royal christening gown at the ceremony. Mountbatten's nickname among family and friends was "Dickie"; however "Richard" was not among his given names. This was because his great-grandmother, Queen Victoria, had suggested the nickname of "Nicky", but to avoid confusion with the many Nickys of the Russian Imperial Family ("Nicky" was particularly used to refer to Nicholas II, the last Tsar), "Nicky" was changed to "Dickie". Mountbatten was educated at home for the first 10 years of his life; he was then sent to Lockers Park School in Hertfordshire and on to the Royal Naval College, Osborne, in May 1913. Mountbatten's mother's younger sister was Russian Empress Alexandra Feodorovna. In childhood he visited the Imperial Court of Russia at St Petersburg and became intimate with the Russian Imperial Family, harbouring romantic feelings towards his maternal first cousin Grand Duchess Maria Nikolaevna, whose photograph he kept at his bedside for the rest of his life. From 1914 to 1918, Britain and its allies were at war with the Central Powers, led by the German Empire. To appease British nationalist sentiment, King George V issued a royal proclamation changing the name of the British royal house from the German House of Saxe-Coburg and Gotha to the House of Windsor. The king's British relatives followed suit with Mountbatten's father dropping his German titles and name and adopting the surname Mountbatten, an anglicization of Battenberg. His father was subsequently created Marquess of Milford Haven. Career Early career Mountbatten was posted as midshipman to the battlecruiser in July 1916 and, after seeing action in August 1916, transferred to the battleship during the closing phases of the First World War. In June 1917, when the royal family stopped using their German names and titles and adopted the more British-sounding "Windsor", Mountbatten acquired the courtesy title Lord Louis Mountbatten and was known as Lord Louis until he was created a peer in 1946. He paid a visit of ten days to the Western Front, in July 1918. Mountbatten was appointed executive officer (second-in-command) of the small warship HMS P. 31 on 13 October 1918 and was promoted sub-lieutenant on 15 January 1919. HMS P. 31 took part in the Peace River Pageant on 4 April 1919. Mountbatten attended Christ's College, Cambridge, for two terms, starting in October 1919, where he studied English literature (including John Milton and Lord Byron) in a programme designed to augment the education of junior officers which had been curtailed by the war. He was elected for a term to the Standing Committee of the Cambridge Union Society and was suspected of sympathy for the Labour Party, then emerging as a potential party of government for the first time. Mountbatten was posted to the battlecruiser in March 1920 and accompanied Edward, Prince of Wales, on a royal tour of Australia in her. He was promoted lieutenant on 15 April 1920. HMS Renown returned to Portsmouth on 11 October 1920. Early in 1921 Royal Navy personnel were used for civil defence duties as serious industrial unrest seemed imminent. Mountbatten had to command a platoon of stokers, many of whom had never handled a rifle before, in northern England. He transferred to the battlecruiser in March 1921 and accompanied the Prince of Wales on a Royal tour of India and Japan. Edward and Mountbatten formed a close friendship during the trip. Mountbatten survived the deep defence cuts known as the Geddes Axe. Fifty-two percent of the officers of his year had had to leave the Royal Navy by the end of 1923; although he was highly regarded by his superiors, it was rumoured that wealthy and well-connected officers were more likely to be retained. Mountbatten was posted to the battleship in the Mediterranean Fleet in January 1923. Pursuing his interests in technological development and gadgetry, Mountbatten joined the Portsmouth Signals School in August 1924 and then went on briefly to study electronics at the Royal Naval College, Greenwich. Mountbatten became a Member of the Institution of Electrical Engineers (IEE), now the Institution of Engineering and Technology (IET). He was posted to the battleship in the Reserve Fleet in 1926 and became Assistant Fleet Wireless and Signals Officer of the Mediterranean Fleet under the command of Admiral Sir Roger Keyes in January 1927. Promoted lieutenant-commander on 15 April 1928, Mountbatten returned to the Signals School in July 1929 as Senior Wireless Instructor. He was appointed Fleet Wireless Officer to the Mediterranean Fleet in August 1931 and, having been promoted commander on 31 December 1932, was posted to the battleship . In 1934, Mountbatten was appointed to his first command – the destroyer . His ship was a new destroyer, which he was to sail to Singapore and exchange for an older ship, . He successfully brought Wishart back to port in Malta and then attended the funeral of King George V in January 1936. Mountbatten was appointed a personal naval aide-de-camp to King Edward VIII on 23 June 1936 and, having joined the Naval Air Division of the Admiralty in July 1936, he attended the coronation of King George VI and Queen Elizabeth in May 1937. Mountbatten was promoted captain on 30 June 1937 and was then given command of the destroyer in June 1939. In July 1939, Mountbatten was granted a patent (UK Number 508,956) for a system for maintaining a warship in a fixed position relative to another ship. Within the Admiralty, Mountbatten was called "The Master of Disaster" for his penchant of getting into messes. Second World War When war broke out in September 1939, Mountbatten became Captain (D) (commander) of the 5th Destroyer Flotilla aboard HMS Kelly, which became famous for its exploits. In late 1939 he brought the Duke of Windsor back from exile in France and in early May 1940 Mountbatten led a British convoy in through the fog to evacuate the Allied forces participating in the Namsos Campaign during the Norwegian Campaign. On the night of 9–10 May 1940, Kelly was torpedoed amidships by a German E-boat S 31 off the Dutch coast, and Mountbatten thereafter commanded the 5th Destroyer Flotilla from the destroyer . On 29 November 1940 the 5th Flotilla engaged three German destroyers off Lizard Point, Cornwall. Mountbatten turned to port to match a German course change. This was "a rather disastrous move as the directors swung off and lost target" and it resulted in Javelin being struck by two torpedoes. He rejoined Kelly in December 1940, by which time the torpedo damage had been repaired. Kelly was sunk by German dive bombers on 23 May 1941 during the Battle of Crete; the incident serving as the basis for Noël Coward's film In Which We Serve. Coward was a personal friend of Mountbatten and copied some of his speeches into the film. Mountbatten was mentioned in despatches on 9 August 1940 and 21 March 1941 and awarded the Distinguished Service Order in January 1941. In August 1941, Mountbatten was appointed captain of the aircraft carrier which lay in Norfolk, Virginia, for repairs following action at Malta in January. During this period of relative inactivity, he paid a flying visit to Pearl Harbor, three months before the Japanese attack on it. Mountbatten, appalled at the US naval base's lack of preparedness, drawing on Japan's history of launching wars with surprise attacks as well as the successful British surprise attack at the Battle of Taranto which had effectively knocked Italy's fleet out of the war, and the sheer effectiveness of aircraft against warships, accurately predicted that the US would enter the war after a Japanese surprise attack on Pearl Harbor. Mountbatten was a favourite of Winston Churchill. On 27 October 1941, Mountbatten replaced Admiral of the Fleet Sir Roger Keyes as Chief of Combined Operations Headquarters and was promoted to commodore. His duties in this role included inventing new technical aids to assist with opposed landings. Noteworthy technical achievements of Mountbatten and his staff include the construction of "PLUTO", an underwater oil pipeline to Normandy, an artificial Mulberry harbour constructed of concrete caissons and sunken ships, and the development of tank-landing ships. Another project Mountbatten proposed to Churchill was Project Habakkuk. It was to be an unsinkable 600-metre aircraft carrier made from reinforced ice ("Pykrete"): Habakkuk was never carried out due to its enormous cost. As commander of Combined Operations, Mountbatten and his staff planned the highly successful Bruneval raid, which gained important information and captured part of a German Würzburg radar installation and one of the machine's technicians on 27 February 1942. It was Mountbatten who recognised that surprise and speed were essential to capture the radar, and saw that an airborne assault was the only viable method. On 18 March 1942, he was promoted to the acting rank of vice admiral and given the honorary ranks of lieutenant general and air marshal to have the authority to carry out his duties in Combined Operations; and, despite the misgivings of General Sir Alan Brooke, the Chief of the Imperial General Staff, Mountbatten was placed in the Chiefs of Staff Committee. He was in large part responsible for the planning and organisation of the St Nazaire Raid on 28 March, which put out of action one of the most heavily defended docks in Nazi-occupied France until well after the war's end, the ramifications of which contributed to allied supremacy in the Battle of the Atlantic. After these two successes came the Dieppe Raid of 19 August 1942. He was central in the planning and promotion of the raid on the port of Dieppe. The raid was a marked failure, with casualties of almost 60%, the great majority of them Canadians. Following the Dieppe Raid, Mountbatten became a controversial figure in Canada, with the Royal Canadian Legion distancing itself from him during his visits there during his later career. His relations with Canadian veterans, who blamed him for the losses, "remained frosty" after the war. Mountbatten claimed that the lessons learned from the Dieppe Raid were necessary for planning the Normandy invasion on D-Day nearly two years later. However, military historians such as Major-General Julian Thompson, a former member of the Royal Marines, have written that these lessons should not have needed a debacle such as Dieppe to be recognised. Nevertheless, as a direct result of the failings of the Dieppe Raid, the British made several innovations, most notably Hobart's Funnies – specialised armoured vehicles which, in the course of the Normandy Landings, undoubtedly saved many lives on those three beachheads upon which Commonwealth soldiers were landing (Gold Beach, Juno Beach and Sword Beach). In August 1943, Churchill appointed Mountbatten the Supreme Allied Commander South East Asia Command (SEAC) with promotion to acting full admiral. His less practical ideas were sidelined by an experienced planning staff led by Lieutenant-Colonel James Allason, though some, such as a proposal to launch an amphibious assault near Rangoon, got as far as Churchill before being quashed. British interpreter Hugh Lunghi recounted an embarrassing episode during the Potsdam Conference when Mountbatten, desiring to receive an invitation to visit the Soviet Union, repeatedly attempted to impress Joseph Stalin with his former connections to the Russian imperial family. The attempt fell predictably flat, with Stalin dryly inquiring whether "it was some time ago that he had been there". Says Lunghi, "The meeting was embarrassing because Stalin was so unimpressed. He offered no invitation. Mountbatten left with his tail between his legs." During his time as Supreme Allied Commander of the Southeast Asia Theatre, his command oversaw the recapture of Burma from the Japanese by General Sir William Slim. A personal high point was the receipt of the Japanese surrender in Singapore when British troops returned to the island to receive the formal surrender of Japanese forces in the region led by General Itagaki Seishiro on 12 September 1945, codenamed Operation Tiderace. South East Asia Command was disbanded in May 1946 and Mountbatten returned home with the substantive rank of rear-admiral. That year, he was made a Knight of the Garter and created Viscount Mountbatten of Burma, of Romsey in the County of Southampton, as a victory title for war service. He was then in 1947 further created Earl Mountbatten of Burma and Baron Romsey, of Romsey in the County of Southampton. Following the war, Mountbatten was known to have largely shunned the Japanese for the rest of his life out of respect for his men killed during the war and, as per his will, Japan was not invited to send diplomatic representatives to his funeral in 1979, though he did meet Emperor Hirohito during his state visit to Britain in 1971, reportedly at the urging of the Queen. Last Viceroy of India Mountbatten's experience in the region and in particular his perceived Labour sympathies at that time led to Clement Attlee advising King George VI to appoint him Viceroy of India on 20 February 1947 charged with overseeing the transition of British India to independence no later than 30 June 1948. Mountbatten's instructions were to avoid partition and preserve a united India as a result of the transfer of power but authorised him to adapt to a changing situation in order to get Britain out promptly with minimal reputational damage. Mountbatten arrived in India on 22 March 1947 by air, from London. In the evening, he was taken to his residence and, two days later, he took the Viceregal Oath. His arrival saw large-scale communal riots in Delhi, Bombay and Rawalpindi. Mountbatten concluded that the situation was too volatile to wait even a year before granting independence to India. Although his advisers favoured a gradual transfer of independence, Mountbatten decided the only way forward was a quick and orderly transfer of power before 1947 was out. In his view, any longer would mean civil war. Mountbatten also hurried so he could return to his senior technical Navy courses. Mountbatten was fond of Congress leader Jawaharlal Nehru and his liberal outlook for the country. He felt differently about the Muslim League leader Muhammad Ali Jinnah, but was aware of his power, stating "If it could be said that any single man held the future of India in the palm of his hand in 1947, that man was Mohammad Ali Jinnah." During his meeting with Jinnah on 5 April 1947, Mountbatten tried to persuade him of a united India, citing the difficult task of dividing the mixed states of Punjab and Bengal, but the Muslim leader was unyielding in his goal of establishing a separate Muslim state called Pakistan. Given the British government's recommendations to grant independence quickly, Mountbatten concluded that a united India was an unachievable goal and resigned himself to a plan for partition, creating the independent nations of India and Pakistan. Mountbatten set a date for the transfer of power from the British to the Indians, arguing that a fixed timeline would convince Indians of his and the British government's sincerity in working towards a swift and efficient independence, excluding all possibilities of stalling the process. Among the Indian leaders, Mahatma Gandhi emphatically insisted on maintaining a united India and for a while successfully rallied people to this goal. During his meeting with Mountbatten, Gandhi asked Mountbatten to invite Jinnah to form a new central government, but Mountbatten never uttered a word of Gandhi's ideas to Jinnah. When Mountbatten's timeline offered the prospect of attaining independence soon, sentiments took a different turn. Given Mountbatten's determination, Nehru and Patel's inability to deal with the Muslim League and, lastly, Jinnah's obstinacy, all Indian party leaders (except Gandhi) acquiesced to Jinnah's plan to divide India, which in turn eased Mountbatten's task. Mountbatten also developed a strong relationship with the Indian princes, who ruled those portions of India not directly under British rule. His intervention was decisive in persuading the vast majority of them to see advantages in opting to join the Indian Union. On one hand, the integration of the princely states can be viewed as one of the positive aspects of his legacy. But on the other, the refusal of Hyderabad, Jammu and Kashmir, and Junagadh to join one of the dominions led to future tension between Pakistan and India. Mountbatten brought forward the date of the partition from June 1948 to 15 August 1947. The uncertainty of the borders caused Muslims and Hindus to move into the direction where they felt they would get the majority. Hindus and Muslims were thoroughly terrified, and the Muslim movement from the East was balanced by the similar movement of Hindus from the West. A boundary committee chaired by Sir Cyril Radcliffe was charged with drawing boundaries for the new nations. With a mandate to leave as many Hindus and Sikhs in India and as many Muslims in Pakistan as possible, Radcliffe came up with a map that split the two countries along the Punjab and Bengal borders. This left 14 million people on the "wrong" side of the border, and very many of them fled to "safety" on the other side when the new lines were announced. When India and Pakistan attained independence at midnight of 14–15 August 1947, Mountbatten was alone in his study at the Viceroy's house saying to himself just before the clock struck midnight that for still a few minutes, he was the most powerful man on Earth. At 11:58 PM, as a last act of showmanship, he created Joan Falkiner, the Australian wife of the Nawab of Palanpur, a highness, an act that was apparently one of his favourite duties that was annulled at the stroke of midnight. Mountbatten remained in New Delhi for 10 months, serving as the first governor-general of an independent India until June 1948. On Mountbatten's advice, India took the issue of Kashmir to the newly formed United Nations in January 1948. This issue would become a lasting thorn in his legacy and one that is not resolved to this day. Accounts differ on the future which Mountbatten desired for Kashmir. Pakistani accounts suggest that Mountbatten favoured the accession of Kashmir to India, citing his close relationship to Nehru. Mountbatten's own account says that he simply wanted the maharaja, Hari Singh, to make up his mind. The viceroy made several attempts to mediate between the Congress leaders, Muhammad Ali Jinnah and Hari Singh on issues relating to the accession of Kashmir, though he was largely unsuccessful in resolving the conflict. After the tribal invasion of Kashmir, it was on his suggestion that India moved to secure the accession of Kashmir from Hari Singh before sending in military forces for his defence. Notwithstanding the self-promotion of his own part in Indian independence – notably in the television series The Life and Times of Admiral of the Fleet Lord Mountbatten of Burma, produced by his son-in-law Lord Brabourne, and Freedom at Midnight by Dominique Lapierre and Larry Collins (of which he was the main quoted source) – his record is seen as very mixed. One common view is that he hastened the process of independence unduly and recklessly, foreseeing vast disruption and loss of life and not wanting this to occur on his watch, but thereby actually helping it to occur (albeit in an indirect manner), especially in Punjab and Bengal. John Kenneth Galbraith, the Canadian-American Harvard University economist, who advised governments of India during the 1950s and was an intimate of Nehru who served as the American ambassador from 1961 to 1963, was a particularly harsh critic of Mountbatten in this regard. The creation of Pakistan was never emotionally accepted by many British leaders, among them Mountbatten. Mountbatten clearly expressed his lack of support and faith in the Muslim League's idea of Pakistan. Jinnah refused Mountbatten's offer to serve as Governor-General of Pakistan. When Mountbatten was asked by Collins and Lapierre if he would have sabotaged the creation of Pakistan had he known that Jinnah was dying of tuberculosis, he replied, "Most probably". Career after India After India, Mountbatten served as commander of the 1st Cruiser Squadron in the Mediterranean Fleet and, having been granted the substantive rank of vice-admiral on 22 June 1949, he became Second-in-Command of the Mediterranean Fleet in April 1950. He became Fourth Sea Lord at the Admiralty in June 1950. He then returned to the Mediterranean to serve as Commander-in-Chief, Mediterranean Fleet and NATO Commander Allied Forces Mediterranean from June 1952. He was promoted to the substantive rank of full admiral on 27 February 1953. In March 1953, he was appointed Personal Aide-de-Camp to the Queen. Mountbatten served his final posting at the Admiralty as First Sea Lord and Chief of the Naval Staff from April 1955 to July 1959, the position which his father had held some forty years before. This was the first time in Royal Naval history that a father and son had both attained such high rank. He was promoted to Admiral of the Fleet on 22 October 1956. In the Suez Crisis of 1956, Mountbatten strongly advised his old friend Prime Minister Anthony Eden against the Conservative government's plans to seize the Suez canal in conjunction with France and Israel. He argued that such a move would destabilize the Middle East, undermine the authority of the United Nations, divide the Commonwealth and diminish Britain's global standing. His advice was not taken. Eden insisted that Mountbatten not resign. Instead, he worked hard to prepare the Royal Navy for war with characteristic professionalism and thoroughness. Military commanders did not understand the physics involved in a nuclear explosion. This became evident when Mountbatten had to be reassured that the fission reactions from the Bikini Atoll tests would not spread through the oceans and blow up the planet. As Mountbatten became more familiar with this new form of weaponry, he increasingly grew opposed to its use in combat yet at the same time he realised the potential for nuclear energy, especially with regard to submarines. Mountbatten expressed his feelings towards the use of nuclear weapons in combat in his article "A Military Commander Surveys The Nuclear Arms Race", which was published shortly after his death in International Security in the Winter of 1979–1980. After leaving the Admiralty, Mountbatten took the position of Chief of the Defence Staff. He served in this post for six years during which he was able to consolidate the three service departments of the military branch into a single Ministry of Defence. Ian Jacob, co-author of the 1963 Report on the Central Organisation of Defence that served as the basis of these reforms, described Mountbatten as "universally mistrusted in spite of his great qualities". On their election in October 1964, the Wilson ministry had to decide whether to renew his appointment the following July. The Defence Secretary, Denis Healey, interviewed the forty most senior officials in the Ministry of Defence; only one, Sir Kenneth Strong, a personal friend of Mountbatten, recommended his reappointment. "When I told Dickie of my decision not to reappoint him," recalls Healey, "he slapped his thigh and roared with delight; but his eyes told a different story." Mountbatten was appointed colonel of the Life Guards and Gold Stick in Waiting on 29 January 1965 and Life Colonel Commandant of the Royal Marines the same year. He was Governor of the Isle of Wight from 20 July 1965 and then the first Lord Lieutenant of the Isle of Wight from 1 April 1974. Mountbatten was elected a Fellow of the Royal Society and had received an honorary doctorate from Heriot-Watt University in 1968. In 1969, Mountbatten tried unsuccessfully to persuade his cousin, the Spanish pretender Infante Juan, Count of Barcelona, to ease the eventual accession of his son, Juan Carlos, to the Spanish throne by signing a declaration of abdication while in exile. The next year Mountbatten attended an official White House dinner during which he took the opportunity to have a 20-minute conversation with Richard Nixon and Secretary of State William P. Rogers, about which he later wrote, "I was able to talk to the President a bit about both Tino [Constantine II of Greece] and Juanito [Juan Carlos of Spain] to try and put over their respective points of view about Greece and Spain, and how I felt the US could help them." In January 1971, Nixon hosted Juan Carlos and his wife Sofia (sister of the exiled King Constantine) during a visit to Washington and later that year The Washington Post published an article alleging that Nixon's administration was seeking to persuade Franco to retire in favour of the young Bourbon prince. From 1967 until 1978, Mountbatten was president of the United World Colleges Organisation, then represented by a single college: that of Atlantic College in South Wales. Mountbatten supported the United World Colleges and encouraged heads of state, politicians, and personalities throughout the world to share his interest. Under his presidency and personal involvement, the United World College of South East Asia was established in Singapore in 1971, followed by the United World College of the Pacific in Victoria, British Columbia, in 1974. In 1978, Mountbatten passed the presidency of the college to his great-nephew, the Prince of Wales. Mountbatten also helped to launch the International Baccalaureate; in 1971 he presented the first IB diplomas in the Greek Theatre of the International School of Geneva, Switzerland. In 1975 Mountbatten finally visited the Soviet Union, leading the delegation from UK as personal representative of Queen Elizabeth II at the celebrations to mark the 30th anniversary of Victory Day in World War II in Moscow. Alleged plots against Harold Wilson Peter Wright, in his 1987 book Spycatcher, claimed that in May 1968 Mountbatten attended a private meeting with press baron Cecil King and the government's Chief Scientific Adviser, Solly Zuckerman. Wright alleged that "up to thirty" MI5 officers had joined a secret campaign to undermine the crisis-stricken Labour government of Harold Wilson and that King was an MI5 agent. In the meeting, King allegedly urged Mountbatten to become the leader of a government of national salvation. Solly Zuckerman pointed out that it was "rank treachery" and the idea came to nothing because of Mountbatten's reluctance to act. In contrast, Andrew Lownie has suggested that it took the intervention of the Queen to dissuade Mountbatten from plotting against Wilson. In 2006, the BBC documentary The Plot Against Harold Wilson alleged that there had been another plot involving Mountbatten to oust Wilson during his second term in office (1974–1976). The period was characterised by high inflation, increasing unemployment, and widespread industrial unrest. The alleged plot revolved around right-wing former military figures who were supposedly building private armies to counter the perceived threat from trade unions and the Soviet Union. They believed that the Labour Party was unable and unwilling to counter these developments and that Wilson was either a Soviet agent or at the very least a Communist sympathiser – claims Wilson strongly denied. The documentary makers alleged that a coup was planned to overthrow Wilson and replace him with Mountbatten using the private armies and sympathisers in the military and MI5. The first official history of MI5, The Defence of the Realm (2009), implied that there was a plot against Wilson and that MI5 did have a file on him. Yet it also made clear that the plot was in no way official and that any activity centred on a small group of discontented officers. This much had already been confirmed by former cabinet secretary Lord Hunt, who concluded in a secret inquiry conducted in 1996 that "there is absolutely no doubt at all that a few, a very few, malcontents in MI5 ... a lot of them like Peter Wright who were right-wing, malicious and had serious personal grudges – gave vent to these and spread damaging malicious stories about that Labour government." Personal life Marriage Mountbatten was married on 18 July 1922 to Edwina Cynthia Annette Ashley, daughter of Wilfred William Ashley, later 1st Baron Mount Temple, himself a grandson of the 7th Earl of Shaftesbury. She was the favourite granddaughter of the Edwardian magnate Sir Ernest Cassel and the principal heir to his fortune. The couple spent heavily on households, luxuries, and entertainment. There followed a honeymoon tour of European royal courts and America which included a visit to Niagara Falls (because "all honeymooners went there"). Mountbatten admitted: "Edwina and I spent all our married lives getting into other people's beds." He maintained an affair for several years with Yola Letellier, the wife of Henri Letellier, publisher of Le Journal and mayor of Deauville (1925–28). Yola Letellier's life story was the inspiration for Colette's novel Gigi. After Edwina died in 1960, Mountbatten was involved in relationships with young women, according to his daughter Patricia, his secretary John Barratt, his valet Bill Evans, and William Stadiem, an employee of Madame Claude. He had a long-running affair with American actress Shirley MacLaine, whom he met in the 1960s. Sexuality Ron Perks, Mountbatten's driver in Malta in 1948, alleged that he used to visit the Red House, an upmarket gay brothel in Rabat used by naval officers. Andrew Lownie, a fellow of the Royal Historical Society, wrote that the United States Federal Bureau of Investigation (FBI) maintained files regarding Mountbatten's alleged homosexuality. Lownie also interviewed several young men who claimed to have been in a relationship with Mountbatten. John Barratt, Mountbatten's personal and private secretary for 20 years, has said Mountbatten was not a homosexual, and that it would have been impossible for such a fact to have been hidden from him. Allegations of sexual abuse On 20 August 2019, files became public showing that the FBI knew in the 1940s that Mountbatten was an alleged homosexual and a pedophile. The FBI file on Mountbatten, begun after he took on the role of Supreme Allied Commander in Southeast Asia in 1944, describes Mountbatten and his wife Edwina as "persons of extremely low morals", and contains a claim by American author Elizabeth, Baroness Decies, that Mountbatten was known to be a homosexual and had "a perversion for young boys". Norman Nield, Mountbatten's driver from 1942 to 1943, told the tabloid New Zealand Truth that he transported young boys aged 8 to 12 who had been procured for the Admiral to Mountbatten's official residence and was paid to keep quiet. Robin Bryans had also claimed to the Irish magazine Now that Mountbatten and Anthony Blunt, along with others, were part of a ring that engaged in homosexual orgies and procured boys in their first year at public schools such as the Portora Royal School in Enniskillen. Former residents of the Kincora Boys' Home in Belfast have asserted that they were trafficked to Mountbatten at Classiebawn Castle his residence in Mullaghmore, County Sligo. These claims were dismissed by the Historical Institution Abuse (HIA) Inquiry. The HIA stated that the article making the original allegations "did not give any basis for the assertions that any of these people [Mountbatten and others] were connected with Kincora". Daughter as heir Lord and Lady Mountbatten had two daughters: Patricia Knatchbull (14 February 1924 – 13 June 2017), sometime lady-in-waiting to Queen Elizabeth II, and Lady Pamela Hicks (born 19 April 1929), who accompanied them to India in 1947–1948 and was also sometime lady-in-waiting to the Queen. Since Mountbatten had no sons when he was created Viscount Mountbatten of Burma, of Romsey in the County of Southampton on 27 August 1946 and then Earl Mountbatten of Burma and Baron Romsey, in the County of Southampton on 28 October 1947, the Letters Patent were drafted such that in the event he left no sons or issue in the male line, the titles could pass to his daughters, in order of seniority of birth, and to their male heirs respectively. Leisure interests Like many members of the royal family, Mountbatten was an aficionado of polo. He received US patent 1,993,334 in 1931 for a polo stick. Mountbatten introduced the sport to the Royal Navy in the 1920s and wrote a book on the subject. He also served as Commodore of Emsworth Sailing Club in Hampshire from 1931. He was a long-serving Patron of the Society for Nautical Research (1951–1979). Mentorship of the Prince of Wales Mountbatten was a strong influence in the upbringing of his grand-nephew, Charles, Prince of Wales, and later as a mentor – "Honorary Grandfather" and "Honorary Grandson", they fondly called each other according to the Jonathan Dimbleby biography of the Prince – though according to both the Ziegler biography of Mountbatten and the Dimbleby biography of the Prince, the results may have been mixed. He from time to time strongly upbraided the Prince for showing tendencies towards the idle pleasure-seeking dilettantism of his predecessor as Prince of Wales, King Edward VIII, whom Mountbatten had known well in their youth. Yet he also encouraged the Prince to enjoy the bachelor life while he could, and then to marry a young and inexperienced girl so as to ensure a stable married life. Mountbatten's qualification for offering advice to this particular heir to the throne was unique; it was he who had arranged the visit of King George VI and Queen Elizabeth to Dartmouth Royal Naval College on 22 July 1939, taking care to include the young Princesses Elizabeth and Margaret in the invitation, but assigning his nephew, Cadet Prince Philip of Greece, to keep them amused while their parents toured the facility. This was the first recorded meeting of Charles's future parents. But a few months later, Mountbatten's efforts nearly came to naught when he received a letter from his sister Alice in Athens informing him that Philip was visiting her and had agreed to repatriate permanently to Greece. Within days, Philip received a command from his cousin and sovereign, King George II of Greece, to resume his naval career in Britain which, though given without explanation, the young prince obeyed. In 1974, Mountbatten began corresponding with Charles about a potential marriage to his granddaughter, Hon. Amanda Knatchbull. It was about this time he also recommended that the 25-year-old prince get on with "sowing some wild oats". Charles dutifully wrote to Amanda's mother (who was also his godmother), Lady Brabourne, about his interest. Her answer was supportive, but advised him that she thought her daughter still rather young to be courted. In February 1975, Charles visited New Delhi to play polo and was shown around Rashtrapati Bhavan, the former Viceroy's House, by Mountbatten. Four years later, Mountbatten secured an invitation for himself and Amanda to accompany Charles on his planned 1980 tour of India. Their fathers promptly objected. Prince Philip thought that the Indian public's reception would more likely reflect response to the uncle than to the nephew. Lord Brabourne counselled that the intense scrutiny of the press would be more likely to drive Mountbatten's godson and granddaughter apart than together. Charles was rescheduled to tour India alone, but Mountbatten did not live to the planned date of departure. When Charles finally did propose marriage to Amanda later in 1979, the circumstances were changed and she refused him. Television appearances On 27 April 1977, shortly before his 77th birthday, Mountbatten became the first member of the Royal Family to appear on the TV guest show This Is Your Life. Death Assassination Mountbatten usually holidayed at his summer home, Classiebawn Castle, on the Mullaghmore Peninsula in County Sligo, in the north-west of Ireland. The village was only from the border with County Fermanagh in Northern Ireland and near an area known to be used as a cross-border refuge by IRA members. In 1978, the IRA had allegedly attempted to shoot Mountbatten as he was aboard his boat, but poor weather had prevented the sniper taking his shot. On 27 August 1979, Mountbatten went lobster-potting and tuna fishing in his wooden boat, Shadow V, which had been moored in the harbour at Mullaghmore. IRA member Thomas McMahon had slipped onto the unguarded boat that night and attached a radio-controlled bomb weighing . When Mountbatten and his party had taken the boat just a few hundred yards from the shore, the bomb was detonated. The boat was destroyed by the force of the blast and Mountbatten's legs were almost blown off. Mountbatten, then aged 79, was pulled alive from the water by nearby fishermen, but died from his injuries before being brought to shore. Also aboard the boat were his elder daughter Patricia, Lady Brabourne; her husband Lord Brabourne; their twin sons Nicholas and Timothy Knatchbull; Lord Brabourne's mother Doreen, Dowager Lady Brabourne; and Paul Maxwell, a young crew member from Enniskillen in County Fermanagh. Nicholas (aged 14) and Paul (aged 15) were killed by the blast and the others were seriously injured. Doreen, Dowager Lady Brabourne (aged 83), died from her injuries the following day. The attack triggered outrage and condemnation around the world. The Queen received messages of condolence from leaders including American President Jimmy Carter and Pope John Paul II. Carter expressed his "profound sadness" at the death. Prime Minister Margaret Thatcher said:His death leaves a gap that can never be filled. The British people give thanks for his life and grieve at his passing. George Colley, the Tánaiste (Deputy head of government) of the Republic of Ireland, said:No effort will be spared to bring those responsible to justice. It is understood that subversives have claimed responsibility for the explosion. Assuming that police investigations substantiate the claim, I know that the Irish people will join me in condemning this heartless and terrible outrage. The IRA issued a statement afterward, saying:The IRA claim responsibility for the execution of Lord Louis Mountbatten. This operation is one of the discriminate ways we can bring to the attention of the English people the continuing occupation of our country. ... The death of Mountbatten and the tributes paid to him will be seen in sharp contrast to the apathy of the British Government and the English people to the deaths of over three hundred British soldiers, and the deaths of Irish men, women, and children at the hands of their forces. Six weeks later, Sinn Féin vice-president Gerry Adams said of Mountbatten's death:The IRA gave clear reasons for the execution. I think it is unfortunate that anyone has to be killed, but the furor created by Mountbatten's death showed up the hypocritical attitude of the media establishment. As a member of the House of Lords, Mountbatten was an emotional figure in both British and Irish politics. What the IRA did to him is what Mountbatten had been doing all his life to other people; and with his war record I don't think he could have objected to dying in what was clearly a war situation. He knew the danger involved in coming to this country. In my opinion, the IRA achieved its objective: people started paying attention to what was happening in Ireland. Adams later said in an interview, "I stand over what I said then. I'm not one of those people that engages in revisionism. Thankfully the war is over." On the day of the bombing, the IRA also ambushed and killed eighteen British soldiers at the gates of Narrow Water Castle, just outside Warrenpoint, in County Down in Northern Ireland, sixteen of them from the Parachute Regiment, in what became known as the Warrenpoint ambush. It was the deadliest attack on the British Army during the Troubles. Funeral On 5 September 1979 Mountbatten received a ceremonial funeral at Westminster Abbey, which was attended by the Queen, the royal family, and members of the European royal houses. Watched by thousands of people, the funeral procession, which started at Wellington Barracks, included representatives of all three British Armed Services, and military contingents from Burma, India, the United States (represented by 70 sailors of the U.S. Navy and 50 U.S. Marines), France (represented by the French Navy) and Canada. His coffin was drawn on a gun carriage by 118 Royal Navy ratings. During the televised service, the Prince of Wales read the lesson from Psalm 107. In an address, the Archbishop of Canterbury, Donald Coggan, highlighted his various achievements and his "lifelong devotion to the Royal Navy". After the public ceremonies, which he had planned himself, Mountbatten was buried in Romsey Abbey. As part of the funeral arrangements, his body had been embalmed by Desmond Henley. Aftermath Two hours before the bomb detonated, Thomas McMahon had been arrested at a Garda checkpoint between Longford and Granard on suspicion of driving a stolen vehicle. He was tried for the assassinations in Ireland and convicted on 23 November 1979 based on forensic evidence supplied by James O'Donovan that showed flecks of paint from the boat and traces of nitroglycerine on his clothes. He was released in 1998 under the terms of the Good Friday Agreement. On hearing of Mountbatten's death, the then Master of the Queen's Music, Malcolm Williamson, wrote the Lament in Memory of Lord Mountbatten of Burma for violin and string orchestra. The 11-minute work was given its first performance on 5 May 1980 by the Scottish Baroque Ensemble, conducted by Leonard Friedman. Legacy Mountbatten's faults, according to his biographer Philip Ziegler, like everything else about him, "were on the grandest scale. His vanity though child-like, was monstrous, his ambition unbridled ... He sought to rewrite history with cavalier indifference to the facts to magnify his own achievements." However, Ziegler concludes that Mountbatten's virtues outweighed his defects: He was generous and loyal ... He was warm-hearted, predisposed to like everyone he met, quick-tempered but never bearing grudges ... His tolerance was extraordinary; his readiness to respect and listen to the views of others was remarkable throughout his life. Ziegler argues he was truly a great man, although not profound or original. What he could do with superlative aplomb was to identify the object at which he was aiming, and force it through to its conclusion. A powerful, analytic mind of crystalline clarity, a superabundance of energy, great persuasive powers, endless resilience in the face of setback or disaster rendered him the most formidable of operators. He was infinitely resourceful, quick in his reactions, always ready to cut his losses and start again ... He was an executor of policy rather than an initiator; but whatever the policy, he espoused it with such energy and enthusiasm, made it so completely his own, that it became identified with him and, in the eyes of the outside world as well as his own, his creation. Others were not so conflicted. Field Marshal Sir Gerald Templer, the former Chief of the Imperial General Staff, once told him, "You are so crooked, Dickie, that if you swallowed a nail, you would shit a corkscrew". Mountbatten's most controversial legacy came in his support for the burgeoning nationalist movements which grew up in the shadow of Japanese occupation. His priority was to maintain practical, stable government, but driving him was an idealism in which he believed every people should be allowed to control their own destiny. Critics said he was too ready to overlook their faults, and especially their subordination to communist control. Ziegler says that in Malaya, where the main resistance to the Japanese came from Chinese who were under considerable communist influence, "Mountbatten proved to have been naïve in his assessment. ... He erred, however, not because he was 'soft on Communism' ... but from an over-readiness to assume the best of those with whom he had dealings." Furthermore, Ziegler argues, he was following a practical policy based on the assumption that it would take a long and bloody struggle to drive the Japanese out, and he needed the support of all the anti-Japanese elements, most of which were either nationalists or communists. Mountbatten took pride in enhancing intercultural understanding and in 1984, with his elder daughter as the patron, the Mountbatten Institute was developed to allow young adults the opportunity to enhance their intercultural appreciation and experience by spending time abroad. The IET annually awards the Mountbatten Medal for an outstanding contribution, or contributions over a period, to the promotion of electronics or information technology and their application. Canada's capital city of Ottawa, Ontario, erected Mountbatten Avenue in his memory. The Mountbatten estate in Singapore and Mountbatten MRT station were named after him. Mountbatten's personal papers (containing approximately 250,000 papers and 50,000 photographs) are preserved in the University of Southampton Library. Awards and decorations He was appointed personal aide-de-camp by Edward VIII, George VI and Elizabeth II, and therefore bore the unusual distinction of being allowed to wear three royal cyphers on his shoulder straps. Arms References Footnotes Works cited Grove, Eric, and Sally Rohan. "The Limits of Opposition: Admiral Earl Mountbatten of Burma, First Sea Lord and Chief of Naval Staff." Contemporary British History 13.2 (1999): 98–116. published in Further reading Coll, Rebecca. "Autobiography and history on screen: The Life and Times of Lord Mountbatten." Historical Journal of Film, Radio and Television 37.4 (2017): 665–682. McLynn, Frank. The Burma Campaign: Disaster into Triumph 1942–1945 (Yale UP, 2011). 544pp Neillands, Robin. The Dieppe Raid: the story of the disastrous 1942 expedition (Indiana UP, 2005). Ritter, Jonathan Templin. Stilwell and Mountbatten in Burma: Allies at War, 1943–1944 (U of North Texas Press, 2017). Smith, Adrian. "Command and Control in Postwar Britain Defence Decision-making in the United Kingdom, 1945-1984". Twentieth-Century British History 2 (1991): 291–327. online Smith, Adrian. "Mountbatten goes to the movies: Promoting the heroic myth through cinema." Historical Journal of Film, Radio and Television 26.3 (2006): 395–416. Villa, Brian Loring, and Peter J. Henshaw. "The Dieppe Raid Debate." Canadian Historical Review 79.2 (1998): 304–315. excerpt External links Tribute & Memorial Website to Louis, 1st Earl Mountbatten of Burma 70th Anniversary of Indian Independence – Mountbatten: The Last Viceroy – UK Parliament Living Heritage Papers of Louis, Earl Mountbatten of Burma |- |- |- |- |- |- |- |- |- |- 1900 births 1979 crimes in the Republic of Ireland 1979 deaths 1979 murders in Europe 1940s in British India 1970s murders in the Republic of Ireland Alumni of Christ's College, Cambridge Assassinated British politicians Assassinated military personnel Assassinated royalty Louis Francis British Empire in World War II British people murdered abroad British terrorism victims Burma in World War II Chief Commanders of the Legion of Merit Chiefs of the Defence Staff (United Kingdom) Companions of the Distinguished Service Order Deaths by improvised explosive device in the Republic of Ireland Earls Mountbatten of Burma English people of German descent Fellows of the Royal Society (Statute 12) First Sea Lords and Chiefs of the Naval Staff Foreign recipients of the Distinguished Service Medal (United States) German princes Governors-General of India Graduates of the Royal Naval College, Greenwich Grand Croix of the Légion d'honneur Grand Crosses of the Order of Aviz Grand Crosses of the Order of George I Grand Crosses of the Order of the Crown (Romania) Grand Crosses of the Order of the Dannebrog Grand Crosses of the Order of the Star of Romania Improvised explosive device bombings in the Republic of Ireland Knights Grand Commander of the Order of the Indian Empire Knights Grand Commander of the Order of the Star of India Knights Grand Cross of the Order of the Bath Knights Grand Cross of the Order of Isabella the Catholic Knights Grand Cross of the Royal Victorian Order Knights of Justice of the Order of St John Knights of the Garter Legion of Frontiersmen members Lord Lieutenants of the Isle of Wight Male murder victims Members of the Order of Merit Members of the Privy Council of the United Kingdom Military of Singapore under British rule Louis NATO military personnel Pakistan Movement People associated with the Royal National College for the Blind People educated at Lockers Park School People educated at the Royal Naval College, Osborne People from Windsor, Berkshire People killed by the Provisional Irish Republican Army People murdered in the Republic of Ireland Presidents of the British Computer Society Recipients of the Croix de Guerre (France) Recipients of the Order of Polonia Restituta Recipients of the Order of the Star of Nepal Recipients of the War Cross (Greece) Royal Navy admirals of the fleet Royal Navy admirals of World War II Royal Navy officers of World War I Ship bombings Terrorism deaths in the Republic of Ireland Terrorist incidents in Europe in 1979 Terrorist incidents in the Republic of Ireland in the 1970s Viceroys of India Younger sons of marquesses Peers created by George VI Recipients of the Distinguished Service Medal (US Army) Burials at Romsey Abbey
10312
https://en.wikipedia.org/wiki/East%20Pakistan
East Pakistan
East Pakistan was a Pakistani province established in 1955 by the One Unit Policy, renaming the province as such from East Bengal. Its land borders were with India and Burma, with a coastline on the Bay of Bengal. East Pakistanis were popularly known as "Pakistani Bengalis"; to distinguish this region from India's state West Bengal (which is also known as "Indian Bengal"), East Pakistan was known as "Pakistani Bengal". In 1971, East Pakistan became the newly independent state Bangladesh. East Pakistan was renamed from East Bengal by the One Unit scheme of Pakistani Prime Minister Mohammad Ali of Bogra. The Constitution of Pakistan of 1956 replaced the Pakistani monarchy with an Islamic republic. Bengali politician H. S. Suhrawardy served as the Prime Minister of Pakistan between 1956 and 1957 and a Bengali bureaucrat Iskander Mirza became the first President of Pakistan. The 1958 Pakistani coup d'état brought general Ayub Khan to power. Khan replaced Mirza as president and launched a crackdown against pro-democracy leaders. Khan enacted the Constitution of Pakistan of 1962 which ended universal suffrage. By 1966, Sheikh Mujibur Rahman emerged as the preeminent opposition leader in Pakistan and launched the six-point movement for autonomy and democracy. The 1969 uprising in East Pakistan contributed to Ayub Khan's overthrow. Another general, Yahya Khan, usurped the presidency and enacted martial law. in 1970, Yahya Khan organised Pakistan's first federal general election. The Awami League emerged as the single largest party, followed by the Pakistan Peoples Party. The military junta stalled in accepting the results, leading to civil disobedience, the Bangladesh Liberation War and the 1971 Bangladesh genocide. East Pakistan seceded with the help of India. The East Pakistan Provincial Assembly was the legislative body of the territory. Due to the strategic importance of East Pakistan, the Pakistani union was a member of the Southeast Asia Treaty Organization. The economy of East Pakistan grew at an average of 2.6% between 1960 and 1965. The federal government invested more funds and foreign aid in West Pakistan, even though East Pakistan generated a major share of exports. However, President Ayub Khan did implement significant industrialisation in East Pakistan. The Kaptai Dam was built in 1965. The Eastern Refinery was established in Chittagong. Dacca was declared as the second capital of Pakistan and planned as the home of the national parliament. The government recruited American architect Louis Kahn to design the national assembly complex in Dacca. Etymology Chaudhry Rehmat Ali, who did not include Bengal in the coined word "PAKISTAN", did create a state among many in India in his book Now or Never pamphlet (1933). He called Bengal ‘Bang-e-Islam’ (call to prayer of Islam) and included all of Bengal, West Bengal too. Bengal was a Muslim-majority province. Although he had punned on the word. To Common Pakistanis it was called “Oriental Pakistan” or alternatively Islamically as “Bangalistan”. The word Mashriqi implies as Eastern. Kazim, in his book of reviews, Kal ki Baat (Readings Lahore, 2010), tells us that Aurangzeb’s minister Abul Fazl had opined that Bangla was actually Bangal and that ‘al’ in it meant enclosure. Today, ‘aal’ is taken to mean home, from a sense of ‘outer wall making an enclosure’, in which to extent what is exactly present-day Bangla-Desh is today respectively. History One Unit and Islamic Republic In 1955, Prime Minister Mohammad Ali Bogra implemented the One Unit scheme which merged the four western provinces into a single unit called West Pakistan while East Bengal was renamed as East Pakistan. Pakistan ended its dominion status and adopted a republican constitution in 1956, which proclaimed an Islamic republic. The populist leader H. S. Suhrawardy of East Pakistan was appointed prime minister of Pakistan. As soon as he became the prime minister, Suhrawardy initiated legal work reviving the joint electorate system. There was strong opposition and resentment to the joint electorate system in West Pakistan. The Muslim League had taken the cause to the public and began calling for the implementation of a separate electorate system. In contrast to West Pakistan, the joint electorate was highly popular in East Pakistan. The tug of war with the Muslim League to establish the appropriate electorate caused problems for his government. The constitutionally obliged National Finance Commission Program (NFC Program) was immediately suspended by Prime Minister Suhrawardy despite the reserves of the four provinces of West Pakistan in 1956. Suhrawardy advocated for the USSR-based Five-Year Plans to centralise the national economy. In this view, East Pakistan's economy would be quickly centralised and all major economic planning would be shifted to West Pakistan. Efforts leading to centralising the economy were met with great resistance in West Pakistan when the elite monopolist and the business community angrily refused to adhere to his policies. The business community in Karachi began its political struggle to undermine any attempts of financial distribution of the US$10 million ICA aid to the better part of East Pakistan and to set up a consolidated national shipping corporation. In the financial cities of West Pakistan, such as Karachi, Lahore, Quetta, and Peshawar, there were series of major labour strikes against the economic policies of Suhrawardy supported by the elite business community and the private sector. Furthermore, in order to divert attention from the controversial One Unit Program, Prime Minister Suhrawardy tried to end the crises by calling a small group of investors to set up small businesses in the country. Despite many initiatives and holding off the NFC Award Program, Suhrawardy's political position and image deteriorated in the four provinces in West Pakistan. Many nationalist leaders and activists of the Muslim League were dismayed with the suspension of the constitutionally obliged NFC Program. His critics and Muslim League leaders observed that with the suspension of NFC Award Program, Suhrawardy tried to give more financial allocations, aids, grants, and opportunities to East Pakistan than West Pakistan, including West Pakistan's four provinces. During the last days of his Prime ministerial years, Suhrawardy tried to remove the economic disparity between the Eastern and Western wings of the country but to no avail. He also tried unsuccessfully to alleviate the food shortage in the country. Suhrawardy strengthened relations with the United States by reinforcing Pakistani membership in the Central Treaty Organization and Southeast Asia Treaty Organization. Suhrawardy also promoted relations with the People’s Republic of China. His contribution in formulating the 1956 constitution of Pakistan was substantial as he played a vital role in incorporating provisions for civil liberties and universal adult franchise in line with his adherence to the parliamentary form of liberal democracy. Era of Ayub Khan In 1958, President Iskandar Mirza enacted martial law as part of a military coup by the Pakistan Army's chief Ayub Khan. Roughly after two weeks, President Mirza's relations with Pakistan Armed Forces deteriorated leading Army Commander General Ayub Khan relieving the president from his presidency and forcefully exiling President Mirza to the United Kingdom. General Ayub Khan justified his actions after appearing on national radio declaring that: "the armed forces and the people demanded a clean break with the past...". Until 1962, the martial law continued while Field Marshal Ayub Khan purged a number of politicians and civil servants from the government and replaced them with military officers. Ayub called his regime a "revolution to clean up the mess of black marketing and corruption". Khan replaced Mirza as president and became the country’s strongman for eleven years. Martial law continued until 1962 when the government of Field Marshal Ayub Khan commissioned a constitutional bench under Chief Justice of Pakistan Muhammad Shahabuddin, composed of ten senior justices, each five from East Pakistan and five from West Pakistan. On 6 May 1961, the commission sent its draft to President Ayub Khan. He thoroughly examined the draft while consulting with his cabinet. In January 1962, the cabinet finally approved the text of the new constitution, promulgated by President Ayub Khan on 1 March 1962, which came into effect on 8 June 1962. Under the 1962 constitution, Pakistan became a presidential republic. Universal suffrage was abolished in favour of a system dubbed 'Basic Democracy'. Under the system, an electoral college would be responsible for electing the president and national assembly. The 1962 constitution created a gubernatorial system in West and East Pakistan. Each province ran its own separate provincial gubernatorial governments. The constitution defined a division of powers between the central government and the provinces. Fatima Jinnah received strong support in East Pakistan during her failed bid to unseat Ayub Khan in the 1965 presidential election. Dacca was declared as the second capital of Pakistan in 1962. It was designated as the legislative capital and Louis Kahn was tasked with designing a national assembly complex. Dacca's population increased in the 1960s. Seven natural gas fields were tapped in the province. The petroleum industry developed as the Eastern Refinery was established in the port city of Chittagong. Six Points In 1966, Awami League leader Sheikh Mujibur Rahman announced the six-point movement in Lahore. The movement demanded greater provincial autonomy and the restoration of democracy in Pakistan. Rahman was indicted for treason during the Agartala Conspiracy Case after launching the six-point movement. He was released in the 1969 uprising in East Pakistan, which ousted Ayub Khan from the presidency. Below includes the historical six points:- Final years Ayub Khan was replaced by general Yahya Khan who became the Chief Martial Law Administrator. Khan organised the 1970 Pakistani general election. The 1970 Bhola cyclone was one of the deadliest natural disasters of the 20th century. The cyclone claimed half a million lives. The disastrous effects of the cyclone caused huge resentment against the federal government. After a decade of military rule, East Pakistan was a hotbed of Bengali nationalism. There were open calls for self-determination. When the federal general election was held, the Awami League emerged as the single largest party in the Pakistani parliament. The League won 167 out of 169 seats in East Pakistan, thereby crossing the half way mark of 150 in the 300-seat National Assembly of Pakistan. In theory, this gave the League the right to form a government under the Westminster tradition. But the League failed to win a single seat in West Pakistan, where the Pakistan Peoples Party emerged as the single largest party with 81 seats. The military junta stalled the transfer of power and conducted prolonged negotiations with the League. A civil disobedience movement erupted across East Pakistan demanding the convening of parliament. Rahman announced a struggle for independence from Pakistan during a speech on 7 March 1971. Between 7–26 March, East Pakistan was virtually under the popular control of the Awami League. On Pakistan's Republic Day on 23 March 1971, the first flag of Bangladesh was hoisted in many East Pakistani households. The Pakistan Army launched a crackdown on 26 March, including Operation Searchlight and the 1971 Dhaka University massacre. This led to the Bangladeshi Declaration of Independence. As the Bangladesh Liberation War and the 1971 Bangladesh genocide continued for nine months, East Pakistani military units like the East Bengal Regiment and the East Pakistan Rifles defected to form the Bangladesh Forces. The Provisional Government of Bangladesh allied with neighbouring India which intervened in the final two weeks of the war and secured the surrender of Pakistan. Role of the Pakistani military With Ayub Khan ousted from office in 1969, Commander of the Pakistani Army, General Yahya Khan became the country's second ruling chief martial law administrator. Both Bhutto and Mujib strongly disliked General Khan, but patiently endured him and his government as he had promised to hold an election in 1970. During this time, strong nationalistic sentiments in East Pakistan were perceived by the Pakistani Armed Forces and the central military government. Therefore, Khan and his military government wanted to divert the nationalistic threats and violence against non-East Pakistanis. The Eastern Command was under constant pressure from the Awami League and requested an active-duty officer to control the command under such extreme pressure. The high flag rank officers, junior officers, and many high command officers from Pakistan's Armed Forces were highly cautious about their appointment in East-Pakistan, and the assignment of governing East Pakistan and appointment of an officer was considered highly difficult for the Pakistan High Military Command. East Pakistan's Armed Forces, under the military administrations of Major-General Muzaffaruddin and Lieutenant-General Sahabzada Yaqub Khan, used an excessive amount of show of military force to curb the uprising in the province. With such action, the situation became highly critical and civil control over the province slipped away from the government. On 24 March, dissatisfied with the performance of his generals, Yahya Khan removed General Muzaffaruddin and General Yaqub Khan from office on 1 September 1969. The appointment of a military administrator was considered quite difficult and challenging with the crisis continually deteriorating. Vice-Admiral Syed Mohammad Ahsan, Commander-in-Chief of the Pakistan Navy, had previously served as political and military adviser of East Pakistan to former President Ayub Khan. Having such a strong background in administration, and being an expert on East Pakistan affairs, General Yahya Khan appointed Vice-Admiral Syed Mohammad Ahsan as Martial Law Administrator, with absolute authority in his command. He was relieved as naval chief and received an extension from the government. The tense relations between East and West Pakistan reached a climax in 1970 when the Awami League, the largest East Pakistani political party, led by Sheikh Mujibur Rahman, (Mujib), won a landslide victory in the national elections in East Pakistan. The party won 160 of the 162 seats allotted to East Pakistan, and thus a majority of the 300 seats in the Parliament. This gave the Awami League the constitutional right to form a government without forming a coalition with any other party. Khan invited Mujib to Rawalpindi to take the charge of the office, and negotiations took place between the military government and the Awami Party. Bhutto was shocked with the results and threatened his fellow Peoples Party members if they attended the inaugural session at the National Assembly, famously saying he would "break the legs" of any member of his party who dared enter and attend the session. However, fearing East Pakistani separatism, Bhutto demanded Mujib to form a coalition government. After a secret meeting held in Larkana, Mujib agreed to give Bhutto the office of the presidency with Mujib as prime minister. General Yahya Khan and his military government were kept unaware of these developments and under pressure from his own military government, refused to allow Rahman to become the prime minister of Pakistan. This increased agitation for greater autonomy in East Pakistan. The military police arrested Mujib and Bhutto and placed them in Adiala Jail in Rawalpindi. The news spread like a fire in both East and West Pakistan, and the struggle for independence began in East Pakistan. The senior high command officers in Pakistan Armed Forces, and Zulfikar Ali Bhutto, began to pressure General Yahya Khan to take armed action against Mujib and his party. Bhutto later distanced himself from Yahya Khan after he was arrested by Military Police along with Mujib. Soon after the arrests, a high-level meeting was chaired by Yahya Khan. During the meeting, high commanders of the Pakistan Armed Forces unanimously recommended an armed and violent military action. East Pakistan's Martial Law Administrator Admiral Ahsan, Governor of East Pakistan, and Air Commodore Zafar Masud, Air Officer Commanding of Dacca's only airbase, were the only officers to object to the plans. When it became obvious that military action in East Pakistan was inevitable, Admiral Ahsan resigned from his position as martial law administrator in protest, and immediately flew back to Karachi, West Pakistan. Disheartened and isolated, Admiral Ahsan took early retirement from the Navy and quietly settled in Karachi. Once Operation Searchlight and Operation Barisal commenced, Air Marshal Masud flew to West Pakistan, and unlike Admiral Ahsan, tried to stop the violence in East Pakistan. When he failed in his attempts to meet General Yahya Khan, Masud too resigned from his position as AOC of Dacca airbase and took retirement from Air Force. Lieutenant-General Sahabzada Yaqub Khan was sent into East Pakistan in an emergency, following a major blow of the resignation of Vice Admiral Ahsan. General Yaqub temporarily assumed the control of the province, he was also made the corps-commander of Eastern Corps. General Yaqub mobilised the entire major forces in East Pakistan. Sheikh Mujibur Rahman made a declaration of independence at Dacca on 26 March 1971. All major Awami League leaders including elected leaders of the National Assembly and Provincial Assembly fled to neighbouring India and an exile government was formed headed by Mujibur Rahman. While he was in Pakistan Prison, Syed Nazrul Islam was the acting president with Tazuddin Ahmed as the prime minister. The exile government took oath on 17 April 1971 at Mujib Nagar, within East Pakistan territory of Kushtia district, and formally formed the government. Colonel MOG Osmani was appointed the Commander in Chief of Liberation Forces and whole East Pakistan was divided into eleven sectors headed by eleven sector commanders. All sector commanders were Bengali officers who had defected from the Pakistan Army. This started the Bangladesh Liberation War in which the freedom fighters, joined in December 1971 by 400,000 Indian soldiers, faced the Pakistani Armed Forces of 365,000 plus Paramilitary and collaborationist forces. An additional approximately 25,000 ill-equipped civilian volunteers and police forces also sided with the Pakistan Armed Forces. Bloody guerrilla warfare ensued in East Pakistan. The Pakistan Armed Forces were unable to counter such threats. Poorly trained and inexperienced in guerrilla tactics, Pakistan Armed Forces and their assets were defeated by the Bangladesh Liberation Forces. In April 1971, Lieutenant-General Tikka Khan succeeded General Yaqub Khan as the Corps Commander. General Tikka Khan led the massive violent and massacre campaigns in the region. He is held responsible for killing hundreds of thousands of Bengali people in East Pakistan, mostly civilians and unarmed peoples. For his role, General Tikka Khan gained the title of "Butcher of Bengal". General Khan faced an international reaction against Pakistan, and therefore, General Tikka was removed as Commander of the Eastern front. He installed a civilian administration under Abdul Motaleb Malik on 31 August 1971, which proved to be ineffective. However, during the meeting, with no high officers willing to assume the command of East Pakistan, Lieutenant-General Amir Abdullah Khan Niazi volunteered for the command of East Pakistan. Inexperienced and the large magnitude of this assignment, the government sent Rear-Admiral Mohammad Shariff as Flag Officer Commanding of Eastern Naval Command (Pakistan). Admiral Shariff served as the deputy of General Niazi when doing joint military operations. However, General Niazi proved to be a failure and ineffective ruler. Therefore, General Niazi and Air Commodore Inamul Haque Khan, AOC, PAF Base Dacca, failed to launch any operation in East Pakistan against Indian or its allies. Except for Admiral Shariff who continued to keep pressure on the Indian Navy until the end of the conflict. Admiral Shariff's effective plans made it nearly impossible for the Indian Navy to land its naval forces on the shores of East Pakistan. The Indian Navy was unable to land forces in East Pakistan and the Pakistan Navy was still offering resistance. The Indian Army, entered East Pakistan from all three directions of the province. The Indian Navy then decided to wait near the Bay of Bengal until the Army reached the shore. The Indian Air Force dismantled the capability of the Pakistan Air Force in East Pakistan. Air Commodore Inamul Haque Khan, Dacca airbase's AOC, failed to offer any serious resistance to the actions of the Indian Air Force. For the most part of the war, the IAF enjoyed complete dominance in the skies over East Pakistan. On 16 December 1971, the Pakistan Armed Forces surrendered to the joint liberation forces of Mukti Bahini and the Indian army, headed by Lieutenant-General Jagjit Singh Arora, the General Officer Commanding-in-Chief (GOC-in-C) of the Eastern Command of the Indian Army. Lieutenant General AAK Niazi, the last corps commander of Eastern Corps, signed the Instrument of Surrender at about 4:31 pm. Over 93,000 personnel, including Lt. General Niazi and Admiral Shariff, were taken as prisoners of war. As of 16 December 1971, East Pakistan was separated from West Pakistan and became the newly independent state of Bangladesh. The Eastern Command, civilian institutions, and paramilitary forces were disbanded. Geography In contrast to the desert and rugged mountainous terrain of West Pakistan, East Pakistan featured the world's largest delta, 700 rivers, and tropical hilly jungles. Administrative geography East Pakistan inherited 17 districts from British Bengal. In 1960, Lower Tippera was renamed Comilla. In 1969, two new districts were created with Tangail separated from Mymensingh and Patuakhali from Bakerganj. East Pakistan's districts are listed in the following. Economy At the time of the Partition of British India, East Bengal had a plantation economy. The Chittagong Tea Auction was established in 1949 as the region was home to the world's largest tea plantations. The East Pakistan Stock Exchange Association was established in 1954. Many wealthy Muslim immigrants from India, Burma, and former British colonies settled in East Pakistan. The Ispahani family, Africawala brothers, and the Adamjee family were pioneers of industrialisation in the region. Many of modern Bangladesh's leading companies were born in the East Pakistan period. An airline founded in British Bengal, Orient Airways, launched the vital air link between East and West Pakistan with DC-3 aircraft on the Dacca-Calcutta-Delhi-Karachi route. Orient Airways later evolved into Pakistan International Airlines, whose first chairman was the East Pakistan-based industrialist Mirza Ahmad Ispahani. By the 1950s, East Bengal surpassed West Bengal in having the largest jute industries in the world. The Adamjee Jute Mills was the largest jute processing plant in history and its location in Narayanganj was nicknamed the Dundee of the East. The Adamjees were descendants of Sir Haji Adamjee Dawood, who made his fortune in British Burma. Natural gas was discovered in the northeastern part of East Pakistan in 1955 by the Burmah Oil Company. Industrial use of natural gas began in 1959. The Shell Oil Company and Pakistan Petroleum tapped 7 gas fields in the 1960s. The industrial seaport city of Chittagong hosted the headquarters of Burmah Eastern and Pakistan National Oil. Iran, an erstwhile leading oil producer, assisted in establishing the Eastern Refinery in Chittagong. The Comilla Model of the Pakistan Academy for Rural Development (present-day Bangladesh Academy for Rural Development) was conceived by Akhtar Hameed Khan and replicated in many developing countries. In 1965, Pakistan implemented the Kaptai Dam hydroelectric project in the southeastern part of East Pakistan with American assistance. It was the sole hydroelectric dam in East Pakistan. The project was controversial for displacing over 40,000 indigenous people from the area. The centrally located metropolis Dacca witnessed significant urban growth. Economic discrimination and disparity Although East Pakistan had a larger population, West Pakistan dominated the divided country politically and received more money from the common budget. According to the World Bank, there was much economic discrimination against East Pakistan, including higher government spending on West Pakistan, financial transfers from East to West, and the use of the East's foreign exchange surpluses to finance the West's imports. The discrimination occurred despite the fact that East Pakistan generated a major share of Pakistan's exports. The annual rate of growth of the gross domestic product per capita was 4.4% in West Pakistan versus 2.6% in East Pakistan from 1960 to 1965. Bengali politicians pushed for more autonomy, arguing that much of Pakistan's export earnings were generated in East Pakistan from the exportation of Bengali jute and tea. As late as 1960, approximately 70% of Pakistan's export earnings originated in East Pakistan, although this percentage declined as international demand for jute dwindled. By the mid-1960s, East Pakistan was accounting for less than 60% of the nation's export earnings, and by the time Bangladesh gained its independence in 1971, this percentage had dipped below 50%. In 1966, Mujib demanded that separate foreign exchange accounts be kept and that separate trade offices be opened overseas. By the mid-1960s, West Pakistan was benefiting from Ayub's "Decade of Progress" with its successful Green Revolution in wheat and from the expansion of markets for West Pakistani textiles, while East Pakistan's standard of living remained at an abysmally low level. Bengalis were also upset that West Pakistan, the seat of the national government, received more foreign aid. Economists in East Pakistan argued a "Two Economies Theory" within Pakistan itself, which was founded on the Two-Nation Theory with India. The so-called Two Economies Theory suggested that East and West Pakistan had different economic features which should not be regulated by a federal government in Islamabad. Demographics and culture East Pakistan was home to 55% of Pakistan's population. The largest ethnic group of the province were Bengalis, who in turn were the largest ethnic group in Pakistan. Bengali Muslims formed the predominant majority, followed by Bengali Hindus, Bengali Buddhists and Bengali Christians. East Pakistan also had many tribal groups, including the Chakmas, Marmas, Tangchangyas, Garos, Manipuris, Tripuris, Santhals and Bawms. They largely followed the religions of Buddhism, Christianity and Hinduism. East Pakistan was home to immigrant Muslims from across the Indian subcontinent, including West Bengal, Bihar, Sindh, Gujarat, the Northwest Frontier Province, Assam, Orissa, the Punjab and Kerala. A small Armenian and Jewish minority resided in East Pakistan. The Asiatic Society of Pakistan was founded in Old Dacca by Ahmad Hasan Dani in 1948. The Varendra Research Museum in Rajshahi was an important center of research on the Indus Valley Civilization. The Bangla Academy was established in 1954. Among East Pakistan's newspapers, The Daily Ittefaq was the leading Bengali language title; while Holiday was a leading English title. At the time of partition, East Bengal had 80 cinemas. The first movie produced in East Pakistan was The Face and the Mask in 1955. Pakistan Television established its second studio in Dacca after Lahore in 1965. Runa Laila was Pakistan's first pop star and became popular in India as well. Shabnam was a leading actress from East Pakistan. Feroza Begum was a leading exponent of Bengali classical Nazrul geeti. Jasimuddin and Abbasuddin Ahmed promoted Bengali folk music. Munier Chowdhury, Syed Mujtaba Ali, Nurul Momen, Sufia Kamal and Shamsur Rahman were among the leading literary figures in East Pakistan. Several East Pakistanis were awarded the Sitara-e-Imtiaz and the Pride of Performance. Religion As per as 1951 census, East Pakistan had a population of 44,251,826 people, of which 34,029,654 followed Islam, 9,757,527 people followed Hinduism and 464,644 people followed other religions: Buddhism, Christianity and Animism. Ethnic and linguistic discrimination Bengalis were hugely under-represented in Pakistan's bureaucracy and military. In the federal government, only 15% of offices were occupied by East Pakistanis. Only 10% of the military were from East Pakistan. Cultural discrimination also prevailed, causing the eastern wing to forge a distinct political identity. There was a bias against Bengali culture in state media, such as a ban on broadcasts of the works of Nobel laureate Rabindranath Tagore. Military Since its unification with Pakistan, the East Pakistan Army had consisted of only one infantry brigade made up of two battalions, the 1st East Bengal Regiment and the 1/14 or 3/8 Punjab Regiment in 1948. These two battalions boasted only five rifle companies between them (an infantry battalion normally had 5 companies). This weak brigade was under the command of Brigadier Ayub Khan (acting Major-General – GOC of 14th Army Division), together with the East Pakistan Rifles, which was tasked with defending East Pakistan during the Indo-Pakistani War of 1947. The PAF, Marines, and the Navy had little presence in the region. Only one PAF combatant squadron, No. 14 Squadron Tail Choppers, was active in East Pakistan. This combatant squadron was commanded by Squadron Leader Parvaiz Mehdi Qureshi, who later became a four-star general. The East Pakistan military personnel were trained in combat diving, demolitions, and guerrilla/anti-guerrilla tactics by the advisers from the Special Service Group (Navy) who were also charged with intelligence data collection and management cycle. The East Pakistan Navy had only one active-duty combatant destroyer, the PNS Sylhet; one submarine Ghazi (which was repeatedly deployed in the West); four gunboats, inadequate to function in deep water. The joint special operations were managed and undertaken by the Naval Special Service Group (SSG(N)) who was assisted by the army, air force, and marines unit. The entire service, the Marines were deployed in East Pakistan, initially tasked with conducting exercises and combat operations in riverine areas and at the near shoreline. The small directorate of Naval Intelligence (while the headquarters and personnel, facilities, and directions were coordinated by West) had a vital role in directing special and reconnaissance missions, and intelligence gathering also was charged with taking reasonable actions to slow down the Indian threat. The armed forces of East Pakistan also consisted of the paramilitary organisation, the Razakars from the intelligence unit of the ISI's Covert Action Division (CAD). Governors Chief ministers Legacy in Pakistan The trauma was extremely severe in Pakistan when the news of secession of East Pakistan as Bangladesh arrived – a psychological setback, complete and humiliating defeat that shattered the prestige of the Pakistan Armed Forces. The governor and martial law administrator Lieutenant-General Amir Abdullah Khan Niazi was defamed, his image was maligned and he was stripped of his honours. The people of Pakistan could not come to terms with the magnitude of defeat, and spontaneous demonstrations and mass protests erupted on the streets of major cities in (West) Pakistan. General Yahya Khan surrendered powers to Nurul Amin of Pakistan Muslim League, the first and last vice-president and prime minister of Pakistan. Prime Minister Amin invited then-President Zulfikar Ali Bhutto and the Pakistan Peoples Party to take control of Pakistan in a colourful ceremony where Bhutto gave a daring speech to the nation on national television. At the ceremony, Bhutto waved his fist in the air and pledged to his nation to never again allow the surrender of his country like what happened with East Pakistan. He launched and orchestrated the large-scale atomic bomb project in 1972. In memorial of East Pakistan, the East-Pakistan diaspora in Pakistan established the East-Pakistan colony in Karachi, Sindh. In accordance, the East-Pakistani diaspora also composed patriotic tributes to Pakistan after the war; songs such as Sohni Dharti (lit. Beautiful land) and Jeevay, Jeevay Pakistan (lit. long-live, long-live Pakistan), were composed by Bengali singer Shahnaz Rahmatullah in the 1970s and 1980s. According to William Langewiesche, writing for The Atlantic, "it may seem obvious that the loss of Bangladesh was a blessing"— but it has never been seen that way in Pakistan. In the book "Scoop! Inside Stories from the Partition to the Present", Indian politician Kuldip Nayar opined, "Losing East Pakistan and Bhutto's releasing of Mujib did not mean anything to Pakistan's policy – as if there was no liberation war." Bhutto's policy, and even today, the policy of Pakistan is that "she will continue to fight for the honour and integrity of Pakistan. See also Bangladesh–Pakistan relations The Blood telegram Indo-Pakistani War of 1971 List of East Pakistan first-class cricketers Partition of India Provincial Government of East Pakistan West Pakistan Notes References External links Government of Bangladesh Government of Pakistan East E E Former exclaves Bengal E Post-independence history of Pakistan 1950s in Pakistan 1960s in Pakistan 1970s in Pakistan 1970s in Bangladesh Former countries in Asia Former polities of the Cold War States and territories established in 1955 States and territories disestablished in 1971 1955 establishments in Pakistan 1971 disestablishments in Pakistan 1971 disestablishments in Asia 20th century in Bangladesh Articles containing video clips Bangladesh–Pakistan relations
10335
https://en.wikipedia.org/wiki/Extermination%20camp
Extermination camp
Nazi Germany used six extermination camps (), also called death camps (Todeslager), or killing centers (Tötungszentren), in Central Europe during World War II to systematically murder over 2.7 million peoplemostly Jewsin the Holocaust. The victims of death camps were primarily murdered by gassing, either in permanent installations constructed for this specific purpose, or by means of gas vans. The six extermination camps were Chełmno, Belzec, Sobibor, Treblinka, Majdanek and Auschwitz-Birkenau. Auschwitz and Majdanek death camps also used extermination through labour in order to kill their prisoners. The idea of mass extermination with the use of stationary facilities, to which the victims were taken by train, was the result of earlier Nazi experimentation with chemically manufactured poison gas during the secretive Aktion T4 euthanasia programme against hospital patients with mental and physical disabilities. The technology was adapted, expanded, and applied in wartime to unsuspecting victims of many ethnic and national groups; the Jews were the primary target, accounting for over 90 percent of extermination camp victims. The genocide of the Jews of Europe was the Nazi Germany's "Final Solution to the Jewish question". Background After the invasion of Poland in September 1939, the secret Aktion T4 euthanasia programmethe systematic murder of German, Austrian and Polish hospital patients with mental or physical disabilities authorized by Hitlerwas initiated by the SS in order to eliminate "life unworthy of life" (), a Nazi designation for people who they considered to have no right to life. In 1941, the experience gained in the secretive killing of these hospital patients led to the creation of extermination camps for the implementation of the Final Solution. By then, the Jews were already confined to new ghettos and interned in Nazi concentration camps along with other targeted groups, including Roma, and the Soviet POWs. The Nazi's so-called "Final Solution of the Jewish Question", based on the systematic murder of Europe's Jews by gassing, began during Operation Reinhard, after the June 1941 onset of the Nazi-Soviet war. The adoption of the gassing technology by Nazi Germany was preceded by a wave of hands-on killings carried out by the SS Einsatzgruppen, who followed the Wehrmacht army during Operation Barbarossa on the Eastern Front. The camps designed specifically for the mass gassings of Jews were established in the months following the Wannsee Conference chaired by Reinhard Heydrich in January 1942 in which the principle was made clear that the Jews of Europe were to be exterminated. Responsibility for the logistics was to be handled by the programme administrator, Adolf Eichmann. On 13 October 1941, the SS and Police Leader Odilo Globocnik stationing in Lublin received an oral order from Reichsführer-SS Heinrich Himmleranticipating the fall of Moscowto start immediate construction work on the killing centre at Bełżec in the General Government territory of occupied Poland. Notably, the order preceded the Wannsee Conference by three months, but the gassings at Chełmno north of Łódź using gas vans began already in December, under Sturmbannführer Herbert Lange. The camp at Bełżec was operational by March 1942, with leadership brought in from Germany under the guise of Organisation Todt (OT). By mid-1942, two more death camps had been built on Polish lands for Operation Reinhard: Sobibór (ready in May 1942) under the command of Hauptsturmführer Franz Stangl, and Treblinka (operational by July 1942) under Obersturmführer Irmfried Eberl from T4, the only doctor to have served in such a capacity. Auschwitz concentration camp was fitted with brand new gas chambers in March 1942. Majdanek had them built in September. Definition The Nazis distinguished between extermination and concentration camps. The terms extermination camp (Vernichtungslager) and death camp (Todeslager) were interchangeable in the Nazi system, each referring to camps whose primary function was genocide. Six camps meet this definition, though extermination of people happened at every sort of concentration camp or transit camp; the use of the term extermination camp with its exclusive purpose is carried over from Nazi terminology. The six camps were Chełmno, Belzec, Sobibor, Treblinka, Majdanek and Auschwitz (also called Auschwitz-Birkenau). Todeslagers were designed specifically for the systematic killing of people delivered en masse by the Holocaust trains. Deportees were normally murdered within a few hours of arrival at Belzec, Sobibór, and Treblinka. The Reinhard extermination camps were under Globocnik's direct command; each of them was run by 20 to 35 men from the SS-Totenkopfverbände branch of the Schutzstaffel, augmented by about one hundred Trawnikisauxiliaries mostly from Soviet Ukraine, and up to one thousand Sonderkommando slave labourers each. The Jewish men, women and children were delivered from the ghettos for "special treatment" in an atmosphere of terror by uniformed police battalions from both Orpo and Schupo. Death camps differed from concentration camps located in Germany proper, such as Bergen-Belsen, Oranienburg, Ravensbrück, and Sachsenhausen, which were prison camps set up prior to World War II for people defined as 'undesirable'. From March 1936, all Nazi concentration camps were managed by the SS-Totenkopfverbände (the Skull Units, SS-TV), who operated extermination camps from 1941 as well. An SS anatomist, Johann Kremer, after witnessing the gassing of victims at Birkenau, wrote in his diary on 2 September 1942: "Dante's Inferno seems to me almost a comedy compared to this. They don't call Auschwitz the camp of annihilation for nothing!" The distinction was evident during the Nuremberg trials, when Dieter Wisliceny (a deputy to Adolf Eichmann) was asked to name the extermination camps, and he identified Auschwitz and Majdanek as such. Then, when asked, "How do you classify the camps Mauthausen, Dachau, and Buchenwald?", he replied, "They were normal concentration camps, from the point of view of the department of Eichmann." Murders were not limited to these camps. Sites for the “Holocaust by Bullets” are marked on the map of The Holocaust in Occupied Poland by white skulls (without the black background), where people were lined up next to a ravine and shot by soldiers with rifles. Sites included Bronna Góra, Ponary and others. Irrespective of round-ups for extermination camps, the Nazis abducted millions of foreigners for slave labour in other types of camps, which provided perfect cover for the extermination programme. Prisoners represented about a quarter of the total workforce of the Reich, with mortality rates exceeding 75 percent due to starvation, disease, exhaustion, executions, and physical brutality. History In the early years of World War II, the Jews were primarily sent to forced labour camps and ghettoised, but from 1942 onward they were deported to the extermination camps under the guise of "resettlement". For political and logistical reasons, the most infamous Nazi German killing factories were built in occupied Poland, where most of the intended victims lived; Poland had the greatest Jewish population in Nazi-controlled Europe.<ref>"The evacuation of Jews to Poland", Jewish Virtual Library.'.' Retrieved 28 July 2009.</ref> On top of that, the new death camps outside of Germany's prewar borders could be kept secret from the German civil populace. Pure extermination camps During the initial phase of the Final Solution, gas vans producing poisonous exhaust fumes were developed in the occupied Soviet Union (USSR) and at the Chełmno extermination camp in occupied Poland, before being used elsewhere. The killing method was based on experience gained by the SS during the secretive Aktion T4 programme of involuntary euthanasia. There were two types of death chambers operating during the Holocaust. Unlike at Auschwitz, where the cyanide-based Zyklon B was used to exterminate trainloads of prisoners under the guise of "relocation", the camps at Treblinka, Bełżec, and Sobibór, built during Operation Reinhard (October 1941November 1943), used lethal exhaust fumes produced by large internal combustion engines. The three killing centres of Einsatz Reinhard were constructed predominantly for the extermination of Poland's Jews trapped in the Nazi ghettos. At first, the victim's bodies were buried with the use of crawler excavators, but they were later exhumed and incinerated in open-air pyres to hide the evidence of genocide in what became known as Sonderaktion 1005. The six camps considered to be purely for extermination were Chełmno extermination camp, Belzec extermination camp, Sobibor extermination camp, Treblinka extermination camp, Majdanek extermination camp and Auschwitz extermination camp (also called Auschwitz-Birkenau). Whereas the Auschwitz II (Auschwitz–Birkenau) and Majdanek camps were parts of a labor camp complex, the Chełmno and Operation Reinhard death camps (that is, Bełżec, Sobibór, and Treblinka) were built exclusively for the rapid extermination of entire communities of people (primarily Jews) within hours of their arrival. All were constructed near branch lines that linked to the Polish railway system, with staff members transferring between locations. These camps had almost identical design: they were several hundred metres in length and width, and were equipped with only minimal staff housing and support installations not meant for the victims crammed into the railway transports. The Nazis deceived the victims upon their arrival, telling them that they were at a temporary transit stop, and would soon continue to German Arbeitslagers (work camps) farther to the east. Selected able-bodied prisoners delivered to the death camps were not immediately killed, but instead were pressed into labor units called Sonderkommandos to help with the extermination process by removing corpses from the gas chambers and burning them. Concentration and extermination camps At the camps of Operation Reinhard, including Bełżec, Sobibór, and Treblinka, trainloads of prisoners were murdered immediately after arrival in gas chambers designed exclusively for that purpose. The mass killing facilities were developed at about the same time inside the Auschwitz II-Birkenau subcamp of a forced labour complex, and at the Majdanek concentration camp. In most other camps prisoners were selected for slave labor first; they were kept alive on starvation rations and made available to work as required. Auschwitz, Majdanek, and Jasenovac were retrofitted with Zyklon B gas chambers and crematoria buildings as the time went on, remaining operational until war's end in 1945. Extermination procedure Heinrich Himmler visited the outskirts of Minsk in 1941 to witness a mass shooting. He was told by the commanding officer there that the shootings were proving psychologically damaging to those being asked to pull the triggers. Thus Himmler knew another method of mass killing was required. After the war, the diary of the Auschwitz Commandant, Rudolf Höss, revealed that psychologically "unable to endure wading through blood any longer", many Einsatzkommandosthe killerseither went mad or killed themselves. The Nazis had first used gassing with carbon monoxide cylinders to murder 70,000 disabled people in Germany in what they called a 'euthanasia programme' to disguise that mass murder was taking place. Despite the lethal effects of carbon monoxide, this was seen as unsuitable for use in the East due to the cost of transporting the carbon monoxide in cylinders. Each extermination camp operated differently, yet each had designs for quick and efficient industrialized killing. While Höss was away on an official journey in late August 1941 his deputy, Karl Fritzsch, tested out an idea. At Auschwitz clothes infested with lice were treated with crystallised prussic acid. The crystals were made to order by the IG Farben chemicals company for which the brand name was Zyklon B. Once released from their container, Zyklon B crystals in the air released a lethal cyanide gas. Fritzsch tried out the effect of Zyklon B on Soviet POWs, who were locked up in cells in the basement of the bunker for this experiment. Höss on his return was briefed and impressed with the results and this became the camp strategy for extermination as it was also to be at Majdanek. Besides gassing, the camp guards continued killing prisoners via mass shooting, starvation, torture, etc. Gassings SS Obersturmführer Kurt Gerstein of the Institute for Hygiene of the Waffen-SS, told a Swedish diplomat during the war, about life in a death camp. He recounted that on 19 August 1942, he arrived at Belzec extermination camp (which was equipped with carbon monoxide gas chambers) and was shown the unloading of 45 train cars filled with 6,700 Jews, many already dead. The rest were marched naked to the gas chambers, where: Auschwitz Camp Commandant Rudolf Höss reported that the first time Zyklon B pellets were used on the Jews, many suspected they were to be killeddespite having been deceived into believing they were to be deloused and then returned to the camp. As a result, the Nazis identified and isolated "difficult individuals" who might alert the prisoners, and removed them from the masslest they incite revolt among the deceived majority of prisoners en route to the gas chambers. The "difficult" prisoners were led to a site out of view to be killed off discreetly. A prisoner unit Sonderkommando (Special Detachment) effected in the processes of extermination; they encouraged the Jews to undress without a hint of what was about to happen. They accompanied them into the gas chambers outfitted to appear as shower rooms (with nonworking water nozzles, and tile walls); and remained with the victims until just before the chamber door closed. To psychologically maintain the "calming effect" of the delousing deception, an SS man stood at the door until the end. The Sonderkommando talked to the victims about life in the camp to pacify the suspicious ones, and hurried them inside; to that effect, they also assisted the aged and the very young in undressing. To further persuade the prisoners that nothing harmful was happening, the Sonderkommando deceived them with small talk about friends or relations who had arrived in earlier transports. Many young mothers hid their infants beneath their piled clothes fearing that the delousing "disinfectant" might harm them. Camp Commandant Höss reported that the "men of the Special Detachment were particularly on the look-out for this", and encouraged the women to take their children into the "shower room". Likewise, the Sonderkommando comforted older children who might cry "because of the strangeness of being undressed in this fashion". Yet, not every prisoner was deceived by such psychological tactics; Commandant Höss spoke of Jews "who either guessed, or knew, what awaited them, nevertheless ... [they] found the courage to joke with the children, to encourage them, despite the mortal terror visible in their own eyes". Some women would suddenly "give the most terrible shrieks while undressing, or tear their hair, or scream like maniacs"; the Sonderkommando immediately took them away for execution by shooting. In such circumstances, others, meaning to save themselves at the gas chamber's threshold, betrayed the identities and "revealed the addresses of those members of their race still in hiding". Once the door of the filled gas chamber was sealed, pellets of Zyklon B were dropped through special holes in the roof. Regulations required that the Camp Commandant supervise the preparations, the gassing (through a peephole), and the aftermath looting of the corpses. Commandant Höss reported that the gassed victims "showed no signs of convulsion"; the Auschwitz camp physicians attributed that to the "paralyzing effect on the lungs" of the Zyklon B gas, which killed before the victim began suffering convulsions. As a matter of political training, some high-ranked Nazi Party leaders and SS officers were sent to Auschwitz–Birkenau to witness the gassings. Höss reported that, "all were deeply impressed by what they saw ... [yet some] ... who had previously spoken most loudly, about the necessity for this extermination, fell silent once they had actually seen the 'final solution of the Jewish problem'." As the Auschwitz Camp Commandant Rudolf Höss justified the extermination by explaining the need for "the iron determination with which we must carry out Hitler's orders"; yet saw that even "[Adolf] Eichmann, who certainly [was] tough enough, had no wish to change places with me”. Corpse disposal After the gassings, the Sonderkommando removed the corpses from the gas chambers, then extracted any gold teeth. Initially, the victims were buried in mass graves, but were later cremated during Sonderaktion 1005 in all camps of Operation Reinhard. The Sonderkommando was responsible for burning the corpses in the pits, stoking the fires, draining surplus body fat and turning over the "mountain of burning corpses ... so that the draft might fan the flames" wrote Commandant Höss in his memoir while in the Polish custody. He was impressed by the diligence of prisoners from the so-called Special Detachment who carried out their duties despite their being well aware that they, too, would meet exactly the same fate in the end. At the Lazaret killing station they held the sick so they would never see the gun while being shot. They did it "in such a matter-of-course manner that they might, themselves, have been the exterminators" wrote Höss. He further said that the men ate and smoked "even when engaged in the grisly job of burning corpses which had been lying for some time in mass graves." They occasionally encountered the corpse of a relative, or saw them entering the gas chambers. According to Höss, they were obviously shaken by this but "it never led to any incident." He mentioned the case of a Sonderkommando'' who found the body of his wife, yet continued to drag corpses along "as though nothing had happened." At Auschwitz, the corpses were incinerated in crematoria and the ashes either buried, scattered, or dumped in the river. At Sobibór, Treblinka, Bełżec, and Chełmno, the corpses were incinerated on pyres. The efficiency of industrialised murder at Auschwitz-Birkenau led to the construction of three buildings with crematoria designed by specialists from the firm J.A. Topf & Söhne. They burned bodies 24 hours a day, and yet the death rate was at times so high that corpses also needed to be burned in open-air pits. Victims The estimated total number of people who were murdered in the six Nazi extermination camps is 2.7 million, according to the United States Holocaust Memorial Museum. Dismantling and attempted concealment The Nazis attempted to either partially or completely dismantle the extermination camps in order to hide any evidence that people had been murdered there. This was an attempt to conceal not only the extermination process but also the buried remains. As a result of the secretive Sonderaktion 1005, the camps were dismantled by commandos of condemned prisoners, their records were destroyed, and the mass graves were dug up. Some extermination camps that remained uncleared of evidence were liberated by Soviet troops, who followed different standards of documentation and openness than the Western allies did. Nonetheless Majdanek was captured nearly intact due to the rapid advance of the Soviet Red Army during Operation Bagration. Commemoration In the post-war period the government of the People's Republic of Poland created monuments at the extermination camp sites. These early monuments mentioned no ethnic, religious, or national particulars of the Nazi victims. The extermination camps sites have been accessible to everyone in recent decades. They are popular destinations for visitors from all over the world, especially the most infamous Nazi death camp, Auschwitz near the town of Oświęcim. In the early 1990s, the Jewish Holocaust organisations debated with the Polish Catholic groups about "What religious symbols of martyrdom are appropriate as memorials in a Nazi death camp such as Auschwitz?" The Jews opposed the placement of Christian memorials such as the Auschwitz cross near Auschwitz I where mostly Poles were killed. The Jewish victims of the Holocaust were mostly killed at Auschwitz II Birkenau. The March of the Living is organized in Poland annually since 1988. Marchers come from countries as diverse as Estonia, New Zealand, Panama, and Turkey. The camps and Holocaust denial Holocaust deniers or negationists are people and organizations who assert that the Holocaust did not occur, or that it did not occur in the historically recognized manner and extent. Holocaust deniers claim that the extermination camps were actually transit camps from which Jews were deported farther east. However, these theories are disproven by surviving German documents, which show that Jews were sent to the camps to be murdered. Extermination camp research is difficult because of extensive attempts by the SS and Nazi regime to conceal the existence of the extermination camps. The existence of the extermination camps is firmly established by testimonies of camp survivors and Final Solution perpetrators, material evidence (the remaining camps, etc.), Nazi photographs and films of the killings, and camp administration records. Awareness In 2017 a Körber Foundation survey found that 40 percent of 14-year-olds in Germany did not know what Auschwitz was. A 2018 survey organized in the United States by the Claims Conference, United States Holocaust Memorial Museum, and others found that 66 percent of the American millennials who were surveyed (and 41 percent of all U.S. adults) did not know what Auschwitz was. In 2019, a survey of 1,100 Canadians found that 49 percent of them could not name any of the Nazi camps which were located in German-occupied Europe. See also German camps in occupied Poland during World War II List of Nazi extermination camps and euthanasia centers "Polish death camp" controversy Soap made from human corpses Topf and Sons War crimes in occupied Poland during World War II Notes References Bibliography Further reading External links The Holocaust History Project, Quick Facts on the Holocaust. Essays, Documents, Reproductions. Retrieved 15 September 2015. Holocaust and concentration camps information The Holocaust Education & Archive Research Team Official U.S. National Archive Footage of Nazi camps Belzec, Sobibor, Treblinka. Holocaust Denial and Operation Reinhard. Internments Holocaust locations
10343
https://en.wikipedia.org/wiki/Ebor%2C%20New%20South%20Wales
Ebor, New South Wales
Ebor is a village on Waterfall Way on the Northern Tablelands in New South Wales, Australia. It is situated about east of Armidale and about a third of the way between Armidale and the coast. Dorrigo to the east is away with the Coffs Coast away along Waterfall Way. In the , Ebor's zone had a population of 166. History Ebor is named after a nearby set of waterfalls, which is a local tourist attraction. At the 2016 census, Ebor had a population of 166 people. Borderlands Although "The Heart of Waterfall Way", Ebor is on the eastern edge of Armidale Regional Council, and close to the border of Clarence Valley Council and Bellingen Shire Council. Until the amalgamation of Guyra and Armidale councils, one side of Ebor was under Armidale council, and the other under Guyra shire. Likewise, Ebor is close to three state (Northern Tablelands, Oxley and Clarence) and three federal electoral boundaries (New England, Cowper and Page). Facilities Amenities in the area include a cafe, a combined post office, fuel station and general store, a pub/motel with camp ground, and a NSW DEC primary school. The local sports ground is home of the Ebor Campdraft. There are also Rural Fire Service and National Parks and Wildlife Service depots in the area, but no police or ambulance services based in Ebor. The nearest hospital and 24h emergency department is in Dorrigo. Features Due to its central position on Waterfall Way, Ebor offers easy access for residents and tourists to Guy Fawkes River National Park, Cathedral Rock National Park, Cunnawarra National Park, New England National Park, part of Oxley Wild Rivers National Park, Nymboi-Binderay National Park and Mount Hyland Nature Reserve. The natural environment of the surrounding district includes some areas which have been cleared for pastoralism and forestry. Nonetheless, the national parks around Ebor have been described as a bush walking "Mecca". The main tourist attraction is the twin Ebor Falls. In 1930 Sydney Smith Jr. wrote that: "During a recent visit to Ebor I was much impressed with the possibilities of this part of the State as a tourist resort... Around Ebor and Guy Fawkes can be seen some of the most magnificent scenery in this State if not Australia. ...The two falls are scenes of beauty, and in winter time are sometimes frozen, making a beautiful spectacle as they hang in huge icicles. The water from the Ebor eventually finds an outlet in the Clarence River. ...The view, ...as regards expansiveness, ruggedness, and beauty, must compare more than favourably with views of a similar nature in any part of the Commonwealth. It reminded me of the Valley of a Thousand Hills, outside Durban, in South Africa". In 1976, local historian Eric Fahey also wrote: "I believe the future of Dorrigo will depend largely on tourism. The area has a lot to offer, both in peerless scenery and because of the native fauna which can be seen in large numbers in their natural state." Wagyu beef specialists Stone Axe have a large holding, "Glen Alvie", on the northern boundary of the village. Stone Axe also acquired "Alfreda" in the nearby locality of Wongwibinda. Black truffles (tuber melanosporum) are grown at the Guy Fawkes Truffle Company outside of Ebor on the Guyra Rd. Trout are another local product. The Dutton Trout Hatchery on Point Lookout Road was established in 1950 and is one of the largest hatcheries in the state. Visitors can see the various stages of trout development prior to their release in the mountain streams. The release of trout into local streams is believed to have led to decline of the endangered Tusked frog. There are two short walks close to the village. One takes walkers through the recreation reserve. This walk follows the Guy Fawkes River upstream for about half of the walk. Some bird life can be seen. The second walk is accessed by crossing the Guy Fawkes River bridge, and following the pedestrian path that winds downstream under the bridge. This path follows the Guy Fawkes River north and meets the national park's Upper and Lower Falls paths. Wallabies, kangaroos, bird life and fire-flies can be seen depending on the season. Platypus have also been sighted in August in the pool above the falls. The Bicentennial National Trail (BNT) passes through Ebor, which sits on the boundary of sections 7 and 8 of the BNT. The Ebor Falls area is sometimes used for rock climbing, and is described as "holding a rather special place in the History of New England climbing". It is also a location for Highlining. Speeding and traffic Ebor has a noted problem with speeding vehicles. Both passenger cars and heavy vehicles regularly exceed the posted speed limit of 50 km/h. Traffic noise is also a problem. Waterfall Way has an entry on the Dangerous Roads website. Post office Ebor's Post Office opened on 2 March 1868, closed in 1869 and reopened in 1910. It is currently located at the Ebor petrol station/store having moved from Fusspots Cafe. Cultural heritage Ebor has a number of cultural heritage sites, including several Aboriginal meeting places, and massacre sites. "Gwenda Gardens" is an abandoned homestead on the Guyra-Ebor Road. Other sites include: Waterfall Way: Yooroonah Tank Barrier Former Cottage Hospital at 5 Parke Street Ebor Cemetery off Waterfall Way Deconsecrated Union Church at 11608 Waterfall Way Former Ebor Soldiers Hall at 11626 Waterfall Way Former Australian Bank of Commerce (formerly City Bank of Sydney) at 27 Ebor Street Homestead, “Milamba” (including original Guy Fawkes Post Office and sheep dip) at 7122 Grafton Road House, “Kotupna” at 7314 Grafton Road Cement weir at 337 Point Lookout Road Climate The village of Ebor is at high altitude by Australian standards. It has cold winters with frequent overnight frost and occasional light snow falls. The average rain fall is about . References External links Ebor General Cemetery Find a Grave Ebor Cemetery in Ebor, New South Wales - Find a Grave Cemetery Towns in New South Wales Towns in New England (New South Wales)
10350
https://en.wikipedia.org/wiki/Easter%20Rising
Easter Rising
The Easter Rising (), also known as the Easter Rebellion, was an armed insurrection in Ireland during Easter Week in April 1916. The Rising was launched by Irish republicans against British rule in Ireland with the aim of establishing an independent Irish Republic while the United Kingdom was fighting the First World War. It was the most significant uprising in Ireland since the rebellion of 1798 and the first armed conflict of the Irish revolutionary period. Sixteen of the Rising's leaders were executed from May 1916, but the insurrection, the nature of the executions, and subsequent political developments ultimately contributed to an increase in popular support for Irish independence. Organised by a seven-man Military Council of the Irish Republican Brotherhood, the Rising began on Easter Monday, 24 April 1916 and lasted for six days. Members of the Irish Volunteers, led by schoolmaster and Irish language activist Patrick Pearse, joined by the smaller Irish Citizen Army of James Connolly and 200 women of Cumann na mBan, seized strategically important buildings in Dublin and proclaimed the Irish Republic. The British Army brought in thousands of reinforcements as well as artillery and a gunboat. There was street fighting on the routes into the city centre, where the rebels slowed the British advance and inflicted many casualties. Elsewhere in Dublin, the fighting mainly consisted of sniping and long-range gun battles. The main rebel positions were gradually surrounded and bombarded with artillery. There were isolated actions in other parts of Ireland; Volunteer leader Eoin MacNeill had issued a countermand in a bid to halt the Rising, which greatly reduced the number of rebels who mobilised. With much greater numbers and heavier weapons, the British Army suppressed the Rising. Pearse agreed to an unconditional surrender on Saturday 29 April, although sporadic fighting continued briefly. After the surrender, the country remained under martial law. About 3,500 people were taken prisoner by the British and 1,800 of them were sent to internment camps or prisons in Britain. Most of the leaders of the Rising were executed following courts-martial. The Rising brought physical force republicanism back to the forefront of Irish politics, which for nearly fifty years had been dominated by constitutional nationalism. Opposition to the British reaction to the Rising contributed to changes in public opinion and the move toward independence, as shown in the December 1918 election in Ireland which was won by the Sinn Féin party, which convened the First Dáil and declared independence. Of the 485 people killed, 260 were civilians, 143 were British military and police personnel, and 82 were Irish rebels, including 16 rebels executed for their roles in the Rising. More than 2,600 people were wounded. Many of the civilians were killed or wounded by British artillery fire or were mistaken for rebels. Others were caught in the crossfire during firefights between the British and the rebels. The shelling and resulting fires left parts of central Dublin in ruins. Background The Acts of Union 1800 united the Kingdom of Great Britain and the Kingdom of Ireland as the United Kingdom of Great Britain and Ireland, abolishing the Irish Parliament and giving Ireland representation in the British Parliament. From early on, many Irish nationalists opposed the union and the continued lack of adequate political representation, along with the British government's handling of Ireland and Irish people, particularly the Great Irish Famine. Opposition took various forms: constitutional (the Repeal Association; the Home Rule League), social (disestablishment of the Church of Ireland; the Land League) and revolutionary (Rebellion of 1848; Fenian Rising). The Irish Home Rule movement sought to achieve self-government for Ireland, within the United Kingdom. In 1886, the Irish Parliamentary Party under Charles Stewart Parnell succeeded in having the First Home Rule Bill introduced in the British parliament, but it was defeated. The Second Home Rule Bill of 1893 was passed by the House of Commons but rejected by the House of Lords. After the death of Parnell, younger and more radical nationalists became disillusioned with parliamentary politics and turned toward more extreme forms of separatism. The Gaelic Athletic Association, the Gaelic League and the cultural revival under W. B. Yeats and Augusta, Lady Gregory, together with the new political thinking of Arthur Griffith expressed in his newspaper Sinn Féin and organisations such as the National Council and the Sinn Féin League, led many Irish people to identify with the idea of an independent Gaelic Ireland. This was sometimes referred to by the generic term Sinn Féin, with the British authorities using it as a collective noun for republicans and advanced nationalists. The Third Home Rule Bill was introduced by British Liberal Prime Minister H. H. Asquith in 1912. Irish Unionists, who were overwhelmingly Protestants, opposed it, as they did not want to be ruled by a Catholic-dominated Irish government. Led by Sir Edward Carson and James Craig, they formed the Ulster Volunteers (UVF) in January 1913. In response, Irish nationalists formed a rival paramilitary group, the Irish Volunteers, in November 1913. The Irish Republican Brotherhood (IRB) was a driving force behind the Irish Volunteers and attempted to control it. Its leader was Eoin MacNeill, who was not an IRB member. The Irish Volunteers' stated goal was "to secure and to maintain the rights and liberties common to all the people of Ireland". It included people with a range of political views, and was open to "all able-bodied Irishmen without distinction of creed, politics or social group". Another militant group, the Irish Citizen Army, was formed by trade unionists as a result of the Dublin Lock-out of that year. British Army officers threatened to resign if they were ordered to take action against the UVF. When the Irish Volunteers smuggled rifles into Dublin, the British Army attempted to stop them and shot into a crowd of civilians. By 1914, Ireland seemed to be on the brink of a civil war. This seemed to be averted in August of that year by the outbreak of the First World War, and Ireland's involvement in it. Nevertheless, on 18 September 1914 the Government of Ireland Act 1914 was enacted and placed on the statute book, but the Suspensory Act was passed at the same time, which deferred Irish Home Rule for one year, with powers for it to be suspended for further periods of six months so long as the war continued. It was widely believed at the time that the war would not last more than a few months. On 14 September 1915 an Order in Council was made under the Suspensory Act to suspend the Government of Ireland Act until 18 March 1916. Another such Order was made on 29 February 1916, suspending the Act for another six months. Planning the Rising The Supreme Council of the IRB met on 5 September 1914, just over a month after the British government had declared war on Germany. At this meeting, they decided to stage an uprising before the war ended and to secure help from Germany. Responsibility for the planning of the rising was given to Tom Clarke and Seán Mac Diarmada. The Irish Volunteers—the smaller of the two forces resulting from the September 1914 split over support for the British war effort—set up a "headquarters staff" that included Patrick Pearse as Director of Military Organisation, Joseph Plunkett as Director of Military Operations and Thomas MacDonagh as Director of Training. Éamonn Ceannt was later added as Director of Communications. In May 1915, Clarke and Mac Diarmada established a Military Committee or Military Council within the IRB, consisting of Pearse, Plunkett and Ceannt, to draw up plans for a rising. Clarke and Mac Diarmada joined it shortly after. The Military Council was able to promote its own policies and personnel independently of both the Volunteer Executive and the IRB Executive. Although the Volunteer and IRB leaders were not against a rising in principle, they were of the opinion that it was not opportune at that moment. Volunteer Chief-of-Staff Eoin MacNeill supported a rising only if the British government attempted to suppress the Volunteers or introduce conscription in Ireland, and if such a rising had some chance of success. IRB President Denis McCullough and prominent IRB member Bulmer Hobson held similar views. The Military Council kept its plans secret, so as to prevent the British authorities learning of the plans, and to thwart those within the organisation who might try to stop the rising. IRB members held officer rank in the Volunteers throughout the country and took their orders from the Military Council, not from MacNeill. Shortly after the outbreak of World War I, Roger Casement and Clan na Gael leader John Devoy met the German ambassador to the United States, Johann Heinrich von Bernstorff, to discuss German backing for an uprising. Casement went to Germany and began negotiations with the German government and military. He persuaded the Germans to announce their support for Irish independence in November 1914. Casement also attempted to recruit an Irish Brigade, made up of Irish prisoners of war, which would be armed and sent to Ireland to join the uprising. However, only 56 men volunteered. Plunkett joined Casement in Germany the following year. Together, Plunkett and Casement presented a plan (the 'Ireland Report') in which a German expeditionary force would land on the west coast of Ireland, while a rising in Dublin diverted the British forces so that the Germans, with the help of local Volunteers, could secure the line of the River Shannon, before advancing on the capital. The German military rejected the plan, but agreed to ship arms and ammunition to the Volunteers. James Connolly—head of the Irish Citizen Army (ICA), a group of armed socialist trade union men and women—was unaware of the IRB's plans, and threatened to start a rebellion on his own if other parties failed to act. If they had done it alone, the IRB and the Volunteers would possibly have come to their aid; however, the IRB leaders met with Connolly in January 1916 and convinced him to join forces with them. They agreed that they would launch a rising together at Easter and made Connolly the sixth member of the Military Council. Thomas MacDonagh would later become the seventh and final member. The death of the old Fenian leader Jeremiah O'Donovan Rossa in New York in August 1915 was an opportunity to mount a spectacular demonstration. His body was sent to Ireland for burial in Glasnevin Cemetery, with the Volunteers in charge of arrangements. Huge crowds lined the route and gathered at the graveside. Pearse made a dramatic funeral oration, a rallying call to republicans, which ended with the words "Ireland unfree shall never be at peace". Build-up to Easter Week In early April, Pearse issued orders to the Irish Volunteers for three days of "parades and manoeuvres" beginning on Easter Sunday. He had the authority to do this, as the Volunteers' Director of Organisation. The idea was that IRB members within the organisation would know these were orders to begin the rising, while men such as MacNeill and the British authorities would take it at face value. On 9 April, the German Navy dispatched the SS Libau for County Kerry, disguised as the Norwegian ship Aud. It was loaded with 20,000 rifles, one million rounds of ammunition, and explosives. Casement also left for Ireland aboard the German submarine U-19. He was disappointed with the level of support offered by the Germans and he intended to stop or at least postpone the rising. On Wednesday 19 April, Alderman Tom Kelly, a Sinn Féin member of Dublin Corporation, read out at a meeting of the corporation a document purportedly leaked from Dublin Castle, detailing plans by the British authorities to shortly arrest leaders of the Irish Volunteers, Sinn Féin and the Gaelic League, and occupy their premises. Although the British authorities said the "Castle Document" was fake, MacNeill ordered the Volunteers to prepare to resist. Unbeknownst to MacNeill, the document had been forged by the Military Council to persuade moderates of the need for their planned uprising. It was an edited version of a real document outlining British plans in the event of conscription. That same day, the Military Council informed senior Volunteer officers that the rising would begin on Easter Sunday. However, it chose not to inform the rank-and-file, or moderates such as MacNeill, until the last minute. The following day, MacNeill got wind that a rising was about to be launched and threatened to do everything he could to prevent it, short of informing the British. MacNeill was briefly persuaded to go along with some sort of action when Mac Diarmada revealed to him that a German arms shipment was about to land in County Kerry. MacNeill believed that when the British learned of the shipment they would immediately suppress the Volunteers, thus the Volunteers would be justified in taking defensive action, including the planned manoeuvres. The Aud and the U-19 reached the coast of Kerry on Good Friday, 21 April. This was earlier than the Volunteers expected and so none were there to meet the vessels. The Royal Navy had known about the arms shipment and intercepted the Aud, prompting the captain to scuttle the ship. Furthermore, Casement was captured shortly after he landed at Banna Strand. When MacNeill learned from Volunteer Patrick Whelan that the arms shipment had been lost, he reverted to his original position. With the support of other leaders of like mind, notably Bulmer Hobson and The O'Rahilly, he issued a countermand to all Volunteers, cancelling all actions for Sunday. This countermanding order was relayed to Volunteer officers and printed in the Sunday morning newspapers. It succeeded only in delaying the rising for a day, although it greatly reduced the number of Volunteers who turned out. British Naval Intelligence had been aware of the arms shipment, Casement's return, and the Easter date for the rising through radio messages between Germany and its embassy in the United States that were intercepted by the Royal Navy and deciphered in Room 40 of the Admiralty. The information was passed to the Under-Secretary for Ireland, Sir Matthew Nathan, on 17 April, but without revealing its source and Nathan was doubtful about its accuracy. When news reached Dublin of the capture of the Aud and the arrest of Casement, Nathan conferred with the Lord Lieutenant, Lord Wimborne. Nathan proposed to raid Liberty Hall, headquarters of the Citizen Army, and Volunteer properties at Father Matthew Park and at Kimmage, but Wimborne insisted on wholesale arrests of the leaders. It was decided to postpone action until after Easter Monday, and in the meantime, Nathan telegraphed the Chief Secretary, Augustine Birrell, in London seeking his approval. By the time Birrell cabled his reply authorising the action, at noon on Monday 24 April 1916, the Rising had already begun. On the morning of Easter Sunday, 23 April, the Military Council met at Liberty Hall to discuss what to do in light of MacNeill's countermanding order. They decided that the Rising would go ahead the following day, Easter Monday, and that the Irish Volunteers and Irish Citizen Army would go into action as the 'Army of the Irish Republic'. They elected Pearse as president of the Irish Republic, and also as Commander-in-Chief of the army; Connolly became Commandant of the Dublin Brigade. Messengers were then sent to all units informing them of the new orders. The Rising in Dublin Easter Monday On the morning of Monday 24 April, about 1,200 members of the Irish Volunteers and Irish Citizen Army mustered at several locations in central Dublin. Among them were members of the all-female Cumann na mBan. Some wore Irish Volunteer and Citizen Army uniforms, while others wore civilian clothes with a yellow Irish Volunteer armband, military hats, and bandoliers. They were armed mostly with rifles (especially 1871 Mausers), but also with shotguns, revolvers, a few Mauser C96 semi-automatic pistols, and grenades. The number of Volunteers who mobilised was much smaller than expected. This was due to MacNeill's countermanding order, and the fact that the new orders had been sent so soon beforehand. However, several hundred Volunteers joined the Rising after it began. Shortly before midday, the rebels began to seize important sites in central Dublin. The rebels' plan was to hold Dublin city centre. This was a large, oval-shaped area bounded by two canals: the Grand to the south and the Royal to the north, with the River Liffey running through the middle. On the southern and western edges of this district were five British Army barracks. Most of the rebels' positions had been chosen to defend against counter-attacks from these barracks. The rebels took the positions with ease. Civilians were evacuated and policemen were ejected or taken prisoner. Windows and doors were barricaded, food and supplies were secured, and first aid posts were set up. Barricades were erected on the streets to hinder British Army movement. A joint force of about 400 Volunteers and Citizen Army gathered at Liberty Hall under the command of Commandant James Connolly. This was the headquarters battalion, and it also included Commander-in-Chief Patrick Pearse, as well as Tom Clarke, Seán Mac Diarmada and Joseph Plunkett. They marched to the General Post Office (GPO) on O'Connell Street, Dublin's main thoroughfare, occupied the building and hoisted two republican flags. Pearse stood outside and read the Proclamation of the Irish Republic. Copies of the Proclamation were also pasted on walls and handed out to bystanders by Volunteers and newsboys. The GPO would be the rebels' headquarters for most of the Rising. Volunteers from the GPO also occupied other buildings on the street, including buildings overlooking O'Connell Bridge. They took over a wireless telegraph station and sent out a radio broadcast in Morse code, announcing that an Irish Republic had been declared. This was the first radio broadcast in Ireland. Elsewhere, some of the headquarters battalion under Michael Mallin occupied St Stephen's Green, where they dug trenches and barricaded the surrounding roads. The 1st battalion, under Edward 'Ned' Daly, occupied the Four Courts and surrounding buildings, while a company under Seán Heuston occupied the Mendicity Institution, across the River Liffey from the Four Courts. The 2nd battalion, under Thomas MacDonagh, occupied Jacob's biscuit factory. The 3rd battalion, under Éamon de Valera, occupied Boland's Mill and surrounding buildings. The 4th battalion, under Éamonn Ceannt, occupied the South Dublin Union and the distillery on Marrowbone Lane. From each of these garrisons, small units of rebels established outposts in the surrounding area. The rebels also attempted to cut transport and communication links. As well as erecting roadblocks, they took control of various bridges and cut telephone and telegraph wires. Westland Row and Harcourt Street railway stations were occupied, though the latter only briefly. The railway line was cut at Fairview and the line was damaged by bombs at Amiens Street, Broadstone, Kingsbridge and Lansdowne Road. Around midday, a small team of Volunteers and Fianna Éireann members swiftly captured the Magazine Fort in the Phoenix Park and disarmed the guards. The goal was to seize weapons and blow up the ammunition store to signal that the Rising had begun. They seized weapons and planted explosives, but the blast was not loud enough to be heard across the city. The 23-year-old son of the fort's commander was fatally shot when he ran to raise the alarm. A contingent under Seán Connolly occupied Dublin City Hall and adjacent buildings. They attempted to seize neighbouring Dublin Castle, the heart of British rule in Ireland. As they approached the gate a lone and unarmed police sentry, James O'Brien, attempted to stop them and was shot dead by Connolly. According to some accounts, he was the first casualty of the Rising. The rebels overpowered the soldiers in the guardroom but failed to press further. The British Army's chief intelligence officer, Major Ivon Price, fired on the rebels while the Under-Secretary for Ireland, Sir Matthew Nathan, helped shut the castle gates. Unbeknownst to the rebels, the Castle was lightly guarded and could have been taken with ease. The rebels instead laid siege to the Castle from City Hall. Fierce fighting erupted there after British reinforcements arrived. The rebels on the roof exchanged fire with soldiers on the street. Seán Connolly was shot dead by a sniper, becoming the first rebel casualty. By the following morning, British forces had re-captured City Hall and taken the rebels prisoner. The rebels did not attempt to take some other key locations, notably Trinity College, in the heart of the city centre and defended by only a handful of armed unionist students. Failure to capture the telephone exchange in Crown Alley left communications in the hands of Government with GPO staff quickly repairing telephone wires that had been cut by the rebels. The failure to occupy strategic locations was attributed to lack of manpower. In at least two incidents, at Jacob's and Stephen's Green, the Volunteers and Citizen Army shot dead civilians trying to attack them or dismantle their barricades. Elsewhere, they hit civilians with their rifle butts to drive them off. The British military were caught totally unprepared by the Rising and their response of the first day was generally un-coordinated. Two squadrons of British cavalry were sent to investigate what was happening. They took fire and casualties from rebel forces at the GPO and at the Four Courts. As one troop passed Nelson's Pillar, the rebels opened fire from the GPO, killing three cavalrymen and two horses and fatally wounding a fourth man. The cavalrymen retreated and were withdrawn to barracks. On Mount Street, a group of Volunteer Training Corps men stumbled upon the rebel position and four were killed before they reached Beggars Bush Barracks. The only substantial combat of the first day of the Rising took place at the South Dublin Union where a piquet from the Royal Irish Regiment encountered an outpost of Éamonn Ceannt's force at the northwestern corner of the South Dublin Union. The British troops, after taking some casualties, managed to regroup and launch several assaults on the position before they forced their way inside and the small rebel force in the tin huts at the eastern end of the Union surrendered. However, the Union complex as a whole remained in rebel hands. A nurse in uniform, Margaret Keogh, was shot dead by British soldiers at the Union. She is believed to have been the first civilian killed in the Rising. Three unarmed Dublin Metropolitan Police were shot dead on the first day of the Rising and their Commissioner pulled them off the streets. Partly as a result of the police withdrawal, a wave of looting broke out in the city centre, especially in the area of O'Connell Street (still officially called "Sackville Street" at the time). Tuesday and Wednesday Lord Wimborne, the Lord Lieutenant, declared martial law on Tuesday evening and handed over civil power to Brigadier-General William Lowe. British forces initially put their efforts into securing the approaches to Dublin Castle and isolating the rebel headquarters, which they believed was in Liberty Hall. The British commander, Lowe, worked slowly, unsure of the size of the force he was up against, and with only 1,269 troops in the city when he arrived from the Curragh Camp in the early hours of Tuesday 25 April. City Hall was taken from the rebel unit that had attacked Dublin Castle on Tuesday morning. In the early hours of Tuesday, 120 British soldiers, with machine-guns, occupied two buildings overlooking St Stephen's Green: the Shelbourne Hotel and United Services Club. At dawn they opened fire on the Citizen Army occupying the green. The rebels returned fire but were forced to retreat to the Royal College of Surgeons building. They remained there for the rest of the week, exchanging fire with British forces. Fighting erupted along the northern edge of the city centre on Tuesday afternoon. In the northeast, British troops left Amiens Street railway station in an armoured train, to secure and repair a section of damaged tracks. They were attacked by rebels who had taken up position at Annesley Bridge. After a two-hour battle, the British were forced to retreat and several soldiers were captured. At Phibsborough, in the northwest, rebels had occupied buildings and erected barricades at junctions on the North Circular Road. The British summoned 18-pounder field artillery from Athlone and shelled the rebel positions, destroying the barricades. After a fierce firefight, the rebels withdrew. That afternoon Pearse walked out into O'Connell Street with a small escort and stood in front of Nelson's Pillar. As a large crowd gathered, he read out a 'manifesto to the citizens of Dublin,' calling on them to support the Rising. The rebels had failed to take either of Dublin's two main railway stations or either of its ports, at Dublin Port and Kingstown. As a result, during the following week, the British were able to bring in thousands of reinforcements from Britain and from their garrisons at the Curragh and Belfast. By the end of the week, British strength stood at over 16,000 men. Their firepower was provided by field artillery which they positioned on the Northside of the city at Phibsborough and at Trinity College, and by the patrol vessel Helga, which sailed up the Liffey, having been summoned from the port at Kingstown. On Wednesday, 26 April, the guns at Trinity College and Helga shelled Liberty Hall, and the Trinity College guns then began firing at rebel positions, first at Boland's Mill and then in O'Connell Street. Some rebel commanders, particularly James Connolly, did not believe that the British would shell the 'second city' of the British Empire. The principal rebel positions at the GPO, the Four Courts, Jacob's Factory and Boland's Mill saw little action. The British surrounded and bombarded them rather than assault them directly. One Volunteer in the GPO recalled, "we did practically no shooting as there was no target". However, where the rebels dominated the routes by which the British tried to funnel reinforcements into the city, there was fierce fighting. At 5:25PM Volunteers Eamon Martin, Garry Holohan, Robert Beggs, Sean Cody, Dinny O'Callaghan, Charles Shelley, Peadar Breslin and five others attempted to occupy Broadstone railway station on Church Street, the attack was unsuccessful and Martin was injured. On Wednesday morning, hundreds of British troops encircled the Mendicity Institution, which was occupied by 26 Volunteers under Seán Heuston. British troops advanced on the building, supported by snipers and machine-gun fire, but the Volunteers put up stiff resistance. Eventually, the troops got close enough to hurl grenades into the building, some of which the rebels threw back. Exhausted and almost out of ammunition, Heuston's men became the first rebel position to surrender. Heuston had been ordered to hold his position for a few hours, to delay the British, but had held on for three days. Reinforcements were sent to Dublin from Britain and disembarked at Kingstown on the morning of Wednesday 26 April. Heavy fighting occurred at the rebel-held positions around the Grand Canal as these troops advanced towards Dublin. More than 1,000 Sherwood Foresters were repeatedly caught in a cross-fire trying to cross the canal at Mount Street Bridge. Seventeen Volunteers were able to severely disrupt the British advance, killing or wounding 240 men. Despite there being alternative routes across the canal nearby, General Lowe ordered repeated frontal assaults on the Mount Street position. The British eventually took the position, which had not been reinforced by the nearby rebel garrison at Boland's Mills, on Thursday, but the fighting there inflicted up to two-thirds of their casualties for the entire week for a cost of just four dead Volunteers. It had taken nearly nine hours for the British to advance . On Wednesday Linenhall Barracks on Constitution Hill was burnt down under the orders of Commandant Edward Daly to prevent its reoccupation by the British. Thursday to Saturday The rebel position at the South Dublin Union (site of the present-day St. James's Hospital) and Marrowbone Lane, further west along the canal, also inflicted heavy losses on British troops. The South Dublin Union was a large complex of buildings and there was vicious fighting around and inside the buildings. Cathal Brugha, a rebel officer, distinguished himself in this action and was badly wounded. By the end of the week, the British had taken some of the buildings in the Union, but others remained in rebel hands. British troops also took casualties in unsuccessful frontal assaults on the Marrowbone Lane Distillery. The third major scene of fighting during the week was in the area of North King Street, north of the Four Courts. The rebels had established strong outposts in the area, occupying numerous small buildings and barricading the streets. From Thursday to Saturday, the British made repeated attempts to capture the area, in what was some of the fiercest fighting of the Rising. As the troops moved in, the rebels continually opened fire from windows and behind chimneys and barricades. At one point, a platoon led by Major Sheppard made a bayonet charge on one of the barricades but was cut down by rebel fire. The British employed machine guns and attempted to avoid direct fire by using makeshift armoured trucks, and by mouse-holing through the inside walls of terraced houses to get near the rebel positions. By the time of the rebel headquarters' surrender on Saturday, the South Staffordshire Regiment under Colonel Taylor had advanced only down the street at a cost of 11 dead and 28 wounded. The enraged troops broke into the houses along the street and shot or bayoneted fifteen unarmed male civilians whom they accused of being rebel fighters. Elsewhere, at Portobello Barracks, an officer named Bowen Colthurst summarily executed six civilians, including the pacifist nationalist activist, Francis Sheehy-Skeffington. These instances of British troops killing Irish civilians would later be highly controversial in Ireland. Surrender The headquarters garrison at the GPO was forced to evacuate after days of shelling when a fire caused by the shells spread to the GPO. Connolly had been incapacitated by a bullet wound to the ankle and had passed command on to Pearse. The O'Rahilly was killed in a sortie from the GPO. They tunnelled through the walls of the neighbouring buildings in order to evacuate the Post Office without coming under fire and took up a new position in 16 Moore Street. The young Seán McLoughlin was given military command and planned a breakout, but Pearse realised this plan would lead to further loss of civilian life. On Saturday 29 April, from this new headquarters, Pearse issued an order for all companies to surrender. Pearse surrendered unconditionally to Brigadier-General Lowe. The surrender document read: The other posts surrendered only after Pearse's surrender order, carried by nurse Elizabeth O'Farrell, reached them. Sporadic fighting, therefore, continued until Sunday, when word of the surrender was got to the other rebel garrisons. Command of British forces had passed from Lowe to General John Maxwell, who arrived in Dublin just in time to take the surrender. Maxwell was made temporary military governor of Ireland. The Rising outside Dublin Irish Volunteer units mobilised on Easter Sunday in several places outside of Dublin, but because of Eoin MacNeill's countermanding order, most of them returned home without fighting. In addition, because of the interception of the German arms aboard the Aud, the provincial Volunteer units were very poorly armed. In the south, around 1,200 Volunteers commanded by Tomás Mac Curtain mustered on the Sunday in Cork, but they dispersed on Wednesday after receiving nine contradictory orders by dispatch from the Volunteer leadership in Dublin. At their Sheares Street headquarters, some of the Volunteers engaged in a standoff with British forces. Much to the anger of many Volunteers, MacCurtain, under pressure from Catholic clergy, agreed to surrender his men's arms to the British. The only violence in Cork occurred when the RIC attempted to raid the home of the Kent family. The Kent brothers, who were Volunteers, engaged in a three-hour firefight with the RIC. An RIC officer and one of the brothers were killed, while another brother was later executed. In the north, Volunteer companies were mobilised in County Tyrone at Coalisland (including 132 men from Belfast led by IRB President Dennis McCullough) and Carrickmore, under the leadership of Patrick McCartan. They also mobilised at Creeslough, County Donegal under Daniel Kelly and James McNulty. However, in part because of the confusion caused by the countermanding order, the Volunteers in these locations dispersed without fighting. Fingal In Fingal (north County Dublin), about 60 Volunteers mobilised near Swords. They belonged to the 5th Battalion of the Dublin Brigade (also known as the Fingal Battalion), and were led by Thomas Ashe and his second in command, Richard Mulcahy. Unlike the rebels elsewhere, the Fingal Battalion successfully employed guerrilla tactics. They set up camp and Ashe split the battalion into four sections: three would undertake operations while the fourth was kept in reserve, guarding camp and foraging for food. The Volunteers moved against the RIC barracks in Swords, Donabate and Garristown, forcing the RIC to surrender and seizing all the weapons. They also damaged railway lines and cut telegraph wires. The railway line at Blanchardstown was bombed to prevent a troop train reaching Dublin. This derailed a cattle train, which had been sent ahead of the troop train. The only large-scale engagement of the Rising, outside Dublin city, was at Ashbourne, County Meath. On Friday, about 35 Fingal Volunteers surrounded the Ashbourne RIC barracks and called on it to surrender, but the RIC responded with a volley of gunfire. A firefight followed, and the RIC surrendered after the Volunteers attacked the building with a homemade grenade. Before the surrender could be taken, up to sixty RIC men arrived in a convoy, sparking a five-hour gun battle, in which eight RIC men were killed and 18 wounded. Two Volunteers were also killed and five wounded, and a civilian was fatally shot. The RIC surrendered and were disarmed. Ashe let them go after warning them not to fight against the Irish Republic again. Ashe's men camped at Kilsalaghan near Dublin until they received orders to surrender on Saturday. The Fingal Battalion's tactics during the Rising foreshadowed those of the IRA during the War of Independence that followed. Volunteer contingents also mobilised nearby in counties Meath and Louth but proved unable to link up with the North Dublin unit until after it had surrendered. In County Louth, Volunteers shot dead an RIC man near the village of Castlebellingham on 24 April, in an incident in which 15 RIC men were also taken prisoner. Enniscorthy In County Wexford, 100–200 Volunteers—led by Robert Brennan, Séamus Doyle and Seán Etchingham—took over the town of Enniscorthy on Thursday 27 April until Sunday. Volunteer officer Paul Galligan had cycled 200 km from rebel headquarters in Dublin with orders to mobilise. They blocked all roads into the town and made a brief attack on the RIC barracks, but chose to blockade it rather than attempt to capture it. They flew the tricolour over the Athenaeum building, which they had made their headquarters, and paraded uniformed in the streets. They also occupied Vinegar Hill, where the United Irishmen had made a last stand in the 1798 rebellion. The public largely supported the rebels and many local men offered to join them. By Saturday, up to 1,000 rebels had been mobilised, and a detachment was sent to occupy the nearby village of Ferns. In Wexford, the British assembled a column of 1,000 soldiers (including the Connaught Rangers), two field guns and a 4.7 inch naval gun on a makeshift armoured train. On Sunday, the British sent messengers to Enniscorthy, informing the rebels of Pearse's surrender order. However, the Volunteer officers were sceptical. Two of them were escorted by the British to Arbour Hill Prison, where Pearse confirmed the surrender order. Galway In County Galway, 600–700 Volunteers mobilised on Tuesday under Liam Mellows. His plan was to "bottle up the British garrison and divert the British from concentrating on Dublin". However, his men were poorly armed, with only 25 rifles, 60 revolvers, 300 shotguns and some homemade grenades – many of them only had pikes. Most of the action took place in a rural area to the east of Galway city. They made unsuccessful attacks on the RIC barracks at Clarinbridge and Oranmore, captured several officers, and bombed a bridge and railway line, before taking up position near Athenry. There was also a skirmish between rebels and an RIC mobile patrol at Carnmore crossroads. A constable, Patrick Whelan, was shot dead after he had called to the rebels: "Surrender, boys, I know ye all". On Wednesday, arrived in Galway Bay and shelled the countryside on the northeastern edge of Galway. The rebels retreated southeast to Moyode, an abandoned country house and estate. From here they set up lookout posts and sent out scouting parties. On Friday, landed 200 Royal Marines and began shelling the countryside near the rebel position. The rebels retreated further south to Limepark, another abandoned country house. Deeming the situation to be hopeless, they dispersed on Saturday morning. Many went home and were arrested following the Rising, while others, including Mellows, went "on the run". By the time British reinforcements arrived in the west, the Rising there had already disintegrated. Limerick and Clare In County Limerick, 300 Irish Volunteers assembled at Glenquin Castle near Killeedy, but they did not take any military action. In County Clare, Micheal Brennan marched with 100 Volunteers (from Meelick, Oatfield, and Cratloe) to the River Shannon on Easter Monday to await orders from the Rising leaders in Dublin, and weapons from the expected Casement shipment. However, neither arrived and no actions were taken. Casualties The Easter Rising resulted in at least 485 deaths, according to the Glasnevin Trust. Of those killed: 260 (about 54%) were civilians 126 (about 26%) were U.K. forces (120 U.K. military personnel, 5 Volunteer Training Corps members, and one Canadian soldier) 35 – Irish Regiments:- 11 – Royal Dublin Fusiliers 10 – Royal Irish Rifles 9 – Royal Irish Regiment 2 – Royal Inniskilling Fusiliers 2 – Royal Irish Fusiliers 1 – Leinster Regiment 74 – British Regiments:- 29 – Sherwood Foresters 15 – South Staffordshire 2 – North Staffordshire 1 – Royal Field Artillery 4 – Royal Engineers 5 – Army Service Corps 10 – Lancers 7 – 8th Hussars 2 – 2nd King Edwards Horse 3 – Yeomanry 1 – Royal Navy 82 (about 16%) were Irish rebel forces (64 Irish Volunteers, 15 Irish Citizen Army and 3 Fianna Éireann) 17 (about 4%) were police 14 – Royal Irish Constabulary 3 – Dublin Metropolitan Police More than 2,600 were wounded; including at least 2,200 civilians and rebels, at least 370 British soldiers and 29 policemen. All 16 police fatalities and 22 of the British soldiers killed were Irishmen. About 40 of those killed were children (under 17 years old), four of whom were members of the rebel forces. The number of casualties each day steadily rose, with 55 killed on Monday and 78 killed on Saturday. The British Army suffered their biggest losses in the Battle of Mount Street Bridge on Wednesday, when at least 30 soldiers were killed. The rebels also suffered their biggest losses on that day. The RIC suffered most of their casualties in the Battle of Ashbourne on Friday. The majority of the casualties, both killed and wounded, were civilians. Most of the civilian casualties and most of the casualties overall were caused by the British Army. This was due to the British using artillery, incendiary shells and heavy machine guns in built-up areas, as well as their "inability to discern rebels from civilians". One Royal Irish Regiment officer recalled, "they regarded, not unreasonably, everyone they saw as an enemy, and fired at anything that moved". Many other civilians were killed when caught in the crossfire. Both sides, British and rebel, also shot civilians deliberately on occasion; for not obeying orders (such as to stop at checkpoints), for assaulting or attempting to hinder them, and for looting. There were also instances of British troops killing unarmed civilians out of revenge or frustration: notably in the North King Street Massacre, where fifteen were killed, and at Portobello Barracks, where six were shot. Furthermore, there were incidents of friendly fire. On 29 April, the Royal Dublin Fusiliers under Company Quartermaster Sergeant Robert Flood shot dead two British officers and two Irish civilian employees of the Guinness Brewery after he decided they were rebels. Flood was court-martialled for murder but acquitted. According to the historian Fearghal McGarry, the rebels attempted to avoid needless bloodshed. Desmond Ryan stated that Volunteers were told "no firing was to take place except under orders or to repel attack". Aside from the engagement at Ashbourne, policemen and unarmed soldiers were not systematically targeted, and a large group of policemen was allowed to stand at Nelson's Pillar throughout Monday. McGarry writes that the Irish Citizen Army "were more ruthless than Volunteers when it came to shooting policemen" and attributes this to the "acrimonious legacy" of the Dublin Lock-out. The vast majority of the Irish casualties were buried in Glasnevin Cemetery in the aftermath of the fighting. British families came to Dublin Castle in May 1916 to reclaim the bodies of British soldiers, and funerals were arranged. Soldiers whose bodies were not claimed were given military funerals in Grangegorman Military Cemetery. Aftermath Arrests and executions General Maxwell quickly signalled his intention "to arrest all dangerous Sinn Feiners", including "those who have taken an active part in the movement although not in the present rebellion", reflecting the popular belief that Sinn Féin, a separatist organisation that was neither militant nor republican, was behind the Rising. A total of 3,430 men and 79 women were arrested, including 425 people for looting. A series of courts-martial began on 2 May, in which 187 people were tried, most of them at Richmond Barracks. The president of the courts-martial was Charles Blackader. Controversially, Maxwell decided that the courts-martial would be held in secret and without a defence, which Crown law officers later ruled to have been illegal. Some of those who conducted the trials had commanded British troops involved in suppressing the Rising, a conflict of interest that the Military Manual prohibited. Only one of those tried by courts-martial was a woman, Constance Markievicz, who was also the only woman to be kept in solitary confinement. Ninety were sentenced to death. Fifteen of those (including all seven signatories of the Proclamation) had their sentences confirmed by Maxwell and fourteen were executed by firing squad at Kilmainham Gaol between 3 and 12 May. Among them was the seriously wounded Connolly, who was shot while tied to a chair because of his shattered ankle. Maxwell stated that only the "ringleaders" and those proven to have committed "coldblooded murder" would be executed. However, the evidence presented was weak, and some of those executed were not leaders and did not kill anyone: Willie Pearse described himself as "a personal attaché to my brother, Patrick Pearse"; John MacBride had not even been aware of the Rising until it began, but had fought against the British in the Boer War fifteen years before; Thomas Kent did not come out at all—he was executed for the killing of a police officer during the raid on his house the week after the Rising. The most prominent leader to escape execution was Éamon de Valera, Commandant of the 3rd Battalion, who did so partly because of his American birth. Most of the executions took place over a ten-day period: 3 May: Patrick Pearse, Thomas MacDonagh and Thomas Clarke 4 May: Joseph Plunkett, William Pearse, Edward Daly and Michael O'Hanrahan 5 May: John MacBride 8 May: Éamonn Ceannt, Michael Mallin, Seán Heuston and Con Colbert 12 May: James Connolly and Seán Mac Diarmada As the executions went on, the Irish public grew increasingly hostile towards the British and sympathetic to the rebels. After the first three executions, John Redmond, leader of the moderate Irish Parliamentary Party, said in the British Parliament that the rising "happily, seems to be over. It has been dealt with with firmness, which was not only right, but it was the duty of the Government to so deal with it". However, he urged the Government "not to show undue hardship or severity to the great masses of those who are implicated". As the executions continued, Redmond pleaded with Asquith to stop them, warning that "if more executions take place in Ireland, the position will become impossible for any constitutional party". Ulster Unionist Party leader Edward Carson expressed similar views. Redmond's deputy, John Dillon, made an impassioned speech in parliament, saying "thousands of people […] who ten days ago were bitterly opposed to the whole of the Sinn Fein movement and to the rebellion, are now becoming infuriated against the Government on account of these executions". He said "it is not murderers who are being executed; it is insurgents who have fought a clean fight, a brave fight, however misguided". Dillon was heckled by English MPs. The British Government itself had also become concerned at the reaction to the executions, and at the way the courts-martial were being carried out. Asquith had warned Maxwell that "a large number of executions would […] sow the seeds of lasting trouble in Ireland". After Connolly's execution, Maxwell bowed to pressure and had the other death sentences commuted to penal servitude. Most of the people arrested were subsequently released, however under Regulation 14B of the Defence of the Realm Act 1914 1,836 men were interned at internment camps and prisons in England and Wales. Many of them, like Arthur Griffith, had little or nothing to do with the Rising. Camps such as Frongoch internment camp became "Universities of Revolution" where future leaders including Michael Collins, Terence McSwiney and J. J. O'Connell began to plan the coming struggle for independence. Casement was tried in London for high treason and hanged at Pentonville Prison on 3 August. British atrocities After the Rising, claims of atrocities carried out by British troops began to emerge. Although they did not receive as much attention as the executions, they sparked outrage among the Irish public and were raised by Irish MPs in Parliament. One incident was the 'Portobello killings'. On Tuesday 25 April, Dubliner Francis Sheehy-Skeffington, a pacifist nationalist activist, had been arrested by British soldiers. Captain John Bowen-Colthurst then took him with a British raiding party as a hostage and human shield. On Rathmines Road he stopped a boy named James Coade, whom he shot dead. His troops then destroyed a tobacconist's shop with grenades and seized journalists Thomas Dickson and Patrick MacIntyre. The next morning, Colthurst had Skeffington and the two journalists shot by firing squad in Portobello Barracks. The bodies were then buried there. Later that day he shot a Labour Party councillor, Richard O'Carroll. When Major Sir Francis Vane learned of the killings he telephoned his superiors in Dublin Castle, but no action was taken. Vane informed Herbert Kitchener, who told Maxwell to arrest Colthurst, but Maxwell refused. Colthurst was eventually arrested and court-martialled in June. He was found guilty of murder but insane, and detained for twenty months at Broadmoor. Public and political pressure led to a public inquiry, which reached similar conclusions. Major Vane was discharged "owing to his action in the Skeffington murder case". The other incident was the 'North King Street Massacre'. On the night of 28–29 April, British soldiers of the South Staffordshire Regiment, under Colonel Henry Taylor, had burst into houses on North King Street and killed fifteen male civilians whom they accused of being rebels. The soldiers shot or bayoneted the victims, then secretly buried some of them in cellars or back yards after robbing them. The area saw some of the fiercest fighting of the Rising and the British had taken heavy casualties for little gain. Maxwell attempted to excuse the killings and argued that the rebels were ultimately responsible. He claimed that "the rebels wore no uniform" and that the people of North King Street were rebel sympathisers. Maxwell concluded that such incidents "are absolutely unavoidable in such a business as this" and that "under the circumstance the troops [...] behaved with the greatest restraint". A private brief, prepared for the Prime Minister, said the soldiers "had orders not to take any prisoners" but took it to mean they were to shoot any suspected rebel. The City Coroner's inquest found that soldiers had killed "unarmed and unoffending" residents. The military court of inquiry ruled that no specific soldiers could be held responsible, and no action was taken. These killings, and the British response to them, helped sway Irish public opinion against the British. Inquiry A Royal Commission was set up to enquire into the causes of the Rising. It began hearings on 18 May under the chairmanship of Lord Hardinge of Penshurst. The Commission heard evidence from Sir Matthew Nathan, Augustine Birrell, Lord Wimborne, Sir Neville Chamberlain (Inspector-General of the Royal Irish Constabulary), General Lovick Friend, Major Ivor Price of Military Intelligence and others. The report, published on 26 June, was critical of the Dublin administration, saying that "Ireland for several years had been administered on the principle that it was safer and more expedient to leave the law in abeyance if collision with any faction of the Irish people could thereby be avoided." Birrell and Nathan had resigned immediately after the Rising. Wimborne resisted the pressure to resign, but was recalled to London by Asquith. He was re-appointed in July 1916. Chamberlain also resigned. Reaction of the Dublin public At first, many Dubliners were bewildered by the outbreak of the Rising. James Stephens, who was in Dublin during the week, thought, "None of these people were prepared for Insurrection. The thing had been sprung on them so suddenly they were unable to take sides." There was great hostility towards the Volunteers in some parts of the city. Historian Keith Jeffery noted that most of the opposition came from people whose relatives were in the British Army and who depended on their army allowances. Those most openly hostile to the Volunteers were the "separation women" (so-called because they were paid "separation money" by the British government), whose husbands and sons were fighting in the British Army in the First World War. There was also hostility from unionists. Supporters of the Irish Parliamentary Party also felt the rebellion was a betrayal of their party. When occupying positions in the South Dublin Union and Jacob's factory, the rebels got involved in physical confrontations with civilians who tried to tear down the rebel barricades and prevent them taking over buildings. The Volunteers shot and clubbed a number of civilians who assaulted them or tried to dismantle their barricades. That the Rising resulted in a great deal of death and destruction, as well as disrupting food supplies, also contributed to the antagonism toward the rebels. After the surrender, the Volunteers were hissed at, pelted with refuse, and denounced as "murderers" and "starvers of the people". Volunteer Robert Holland for example remembered being "subjected to very ugly remarks and cat-calls from the poorer classes" as they marched to surrender. He also reported being abused by people he knew as he was marched through the Kilmainham area into captivity and said the British troops saved them from being manhandled by the crowd. However, some Dubliners expressed support for the rebels. Canadian journalist and writer Frederick Arthur McKenzie wrote that in poorer areas, "there was a vast amount of sympathy with the rebels, particularly after the rebels were defeated". He wrote of crowds cheering a column of rebel prisoners as it passed, with one woman remarking "Shure, we cheer them. Why shouldn't we? Aren't they our own flesh and blood?". At Boland's Mill, the defeated rebels were met with a large crowd, "many weeping and expressing sympathy and sorrow, all of them friendly and kind". Other onlookers were sympathetic but watched in silence. Christopher M. Kennedy notes that "those who sympathised with the rebels would, out of fear for their own safety, keep their opinions to themselves". Áine Ceannt witnessed British soldiers arresting a woman who cheered the captured rebels. An RIC District Inspector's report stated: "Martial law, of course, prevents any expression of it; but a strong undercurrent of disloyalty exists". Thomas Johnson, the Labour Party leader, thought there was "no sign of sympathy for the rebels, but general admiration for their courage and strategy". The aftermath of the Rising, and in particular the British reaction to it, helped sway a large section of Irish nationalist opinion away from hostility or ambivalence and towards support for the rebels of Easter 1916. Dublin businessman and Quaker James G. Douglas, for example, hitherto a Home Ruler, wrote that his political outlook changed radically during the course of the Rising because of the British military occupation of the city and that he became convinced that parliamentary methods would not be enough to expel the British from Ireland. Rise of Sinn Féin A meeting called by Count Plunkett on 19 April 1917 led to the formation of a broad political movement under the banner of Sinn Féin which was formalised at the Sinn Féin Ard Fheis of 25 October 1917. The Conscription Crisis of 1918 further intensified public support for Sinn Féin before the general elections to the British Parliament on 14 December 1918, which resulted in a landslide victory for Sinn Féin, winning 73 seats out of 105, whose Members of Parliament (MPs) gathered in Dublin on 21 January 1919 to form Dáil Éireann and adopt the Declaration of Independence. Legacy Shortly after the Easter Rising, poet Francis Ledwidge wrote "O’Connell Street" and "Lament for the Poets of 1916", which both describe his sense of loss and an expression of holding the same "dreams," as the Easter Rising's Irish Republicans. He would also go on to write lament for Thomas MacDonagh for his fallen friend and fellow Irish Volunteer. A few months after the Easter Rising, W.B. Yeats commemorated some of the fallen figures of the Irish Republican movement, as well as his torn emotions regarding these events, in the poem Easter, 1916. Some of the survivors of the Rising went on to become leaders of the independent Irish state. Those who were executed were venerated by many as martyrs; their graves in Dublin's former military prison of Arbour Hill became a national monument and the Proclamation text was taught in schools. An annual commemorative military parade was held each year on Easter Sunday. In 1935, Éamon de Valera unveiled a statue of the mythical Irish hero Cú Chulainn, sculpted by Oliver Sheppard, at the General Post Office as part of the Rising commemorations that year – it is often seen to be an important symbol of martyrdom in remembrance of the 1916 rebels. Memorials to the heroes of the Rising are to be found in other Irish cities, such as Limerick. The 1916 Medal was issued in 1941 to people with recognised military service during the Rising. The parades culminated in a huge national celebration on the 50th anniversary of the Rising in 1966. Medals were issued by the government to survivors who took part in the Rising at the event. RTÉ, the Irish national broadcaster, as one of its first major undertakings made a series of commemorative programmes for the 1966 anniversary of the Rising. Roibéárd Ó Faracháin, head of programming said, "While still seeking historical truth, the emphasis will be on homage, on salutation." At the same time, CIÉ, the Republic of Ireland's railway operator, renamed several of its major stations after republicans who played key roles in the Easter Rising. Ireland's first commemorative coin was also issued in 1966 to pay tribute to the Easter Rising. It was valued at 10 shillings, therefore having the highest denomination of any pre-decimal coin issued by the country. The coin featured a bust of Patrick Pearse on the obverse and an image of the statue of Cú Chulainn in the GPO on the reverse. Its edge inscription reads, "Éirí Amach na Cásca 1916", which translates to, "1916 Easter Rising". Due to their 83.5% silver content, many of the coins were melted down shortly after issue. A €2 coin was also issued by Ireland in 2016, featuring the statue of Hibernia above the GPO, to commemorate the Rising's centenary. With the outbreak of the Troubles in Northern Ireland, government, academics and the media began to revise the country's militant past, and particularly the Easter Rising. The coalition government of 1973–77, in particular the Minister for Posts and Telegraphs, Conor Cruise O'Brien, began to promote the view that the violence of 1916 was essentially no different from the violence then taking place in the streets of Belfast and Derry. O'Brien and others asserted that the Rising was doomed to military defeat from the outset, and that it failed to account for the determination of Ulster Unionists to remain in the United Kingdom. Irish republicans continue to venerate the Rising and its leaders with murals in republican areas of Belfast and other towns celebrating the actions of Pearse and his comrades, and annual parades in remembrance of the Rising. The Irish government, however, discontinued its annual parade in Dublin in the early 1970s, and in 1976 it took the unprecedented step of proscribing (under the Offences against the State Act) a 1916 commemoration ceremony at the GPO organised by Sinn Féin and the Republican Commemoration Committee. A Labour Party TD, David Thornley, embarrassed the government (of which Labour was a member) by appearing on the platform at the ceremony, along with Máire Comerford, who had fought in the Rising, and Fiona Plunkett, sister of Joseph Plunkett. With the advent of a Provisional IRA ceasefire and the beginning of what became known as the Peace Process during the 1990s, the government's view of the Rising grew more positive and in 1996 an 80th anniversary commemoration at the Garden of Remembrance in Dublin was attended by the Taoiseach and leader of Fine Gael, John Bruton. In 2005, the Taoiseach, Bertie Ahern, announced the government's intention to resume the military parade past the GPO from Easter 2006, and to form a committee to plan centenary celebrations in 2016. The 90th anniversary was celebrated with a military parade in Dublin on Easter Sunday, 2006, attended by the President of Ireland, the Taoiseach and the Lord Mayor of Dublin. There is now an annual ceremony at Easter attended by relatives of those who fought, by the President, the Taoiseach, ministers, senators and TDs, and by usually large and respectful crowds. The Rising continues to attract debate and analysis. In 2016 The Enemy Files, a documentary presented by a former British Secretary of State for Defence, Michael Portillo, was shown on RTÉ One and the BBC, ahead of the centenary. Portillo declared that the execution of the 16 leaders of the insurrection could be justified in its context – a military response, against the background of the appalling European war – but that the rebels had set a trap that the British fell into and that every possible response by the British would have been a mistake of some kind. He commented on the role of Patrick Pearse, the martyrdom controversy and the Proclamation's reference to "our gallant [German] allies in Europe". In December 2014 Dublin City Council approved a proposal to create a historical path commemorating the Rising, similar to the Freedom Trail in Boston. Lord Mayor of Dublin Christy Burke announced that the council had committed to building the trail, marking it with a green line or bricks, with brass plates marking the related historic sites such as the Rotunda and the General Post Office. A pedestrian staircase that runs along 53rd Avenue, from 65th Place to 64th Street in west Queens, New York City was named 'Easter Rising Way' in 2016. Sinn Féin leader, Gerry Adams spoke at the naming ceremony. Date of commemoration The Easter Rising lasted from Easter Monday 24 April 1916 to Easter Saturday 29 April 1916. Annual commemorations, rather than taking place on 24–29 April, are typically based on the date of Easter, which is a moveable feast. For example, the annual military parade is on Easter Sunday; the date of coming into force of the Republic of Ireland Act 1948 was symbolically chosen as Easter Monday (18 April) 1949. The official programme of centenary events in 2016 climaxed from 25 March (Good Friday) to 2 April (Easter Saturday) with other events earlier and later in the year taking place on the calendrical anniversaries. In popular culture "Easter, 1916", a poem by the poet and playwright W.B. Yeats, published in 1921. "The Foggy Dew" is a song by Canon Charles O'Neill, composed during the Irish War of Independence, that eulogises the rebels of the Easter Rising. The Plough and the Stars is a 1926 play by Seán O'Casey that takes place during the Easter Rising. Insurrection is a 1950 novel by Liam O'Flaherty that takes place during the Rising. The Red and the Green is a 1965 novel by Iris Murdoch that covers the events leading up to and during the Easter Rising. Insurrection is an eight-part 1966 docudrama made by Telefís Éireann for the 50th anniversary of the Rising. It was rebroadcast during the centenary celebrations in 2016. "Grace" is a 1985 song about the marriage of Joseph Plunkett to Grace Gifford in Kilmainham Gaol before his execution. 1916, A Novel of the Irish Rebellion is a 1998 historical novel by Morgan Llywelyn. A Star Called Henry is a 1999 novel by Roddy Doyle that partly recounts the Easter Rising through the involvement of the novel's protagonist Henry Smart. At Swim, Two Boys is a 2001 novel by Irish writer Jamie O'Neill, set in Dublin before and during the 1916 Easter Rising. Rebel Heart, is a 2001 BBC miniseries on the life of a (fictional) nationalist from the Rising through the Irish Civil War. Blood Upon the Rose is a 2009 graphic novel by Gerry Hunt depicting the events of the Easter Rising. 1916 Seachtar na Cásca is a 2010 Irish TV documentary series based on the Easter Rising, telling about seven signatories of the rebellion. The Dream of the Celt is a 2012 novel by Mario Vargas Llosa based on the life and death of Roger Casement, including his involvement with the Rising. Rebellion is a 2016 mini-series about the Easter Rising. 1916 is a 2016 three part documentary mini-series about the Easter Rising narrated by Liam Neeson. Penance is a 2018 Irish film set primarily in Donegal in 1916 and in Derry in 1969, in which the Rising is also featured. See also List of Irish uprisings Notes References Augusteijn, Joost (ed.)The Memoirs of John M. Regan, a Catholic Officer in the RIC and RUC, 1909–48, Witnessed Rising, . Caulfield, Max, The Easter Rebellion, Dublin 1916 Coogan, Tim Pat, 1916: The Easter Rising (2001) Coogan, Tim Pat, The IRA (2nd ed. 2000), De Rosa, Peter. Rebels: The Irish Rising of 1916. Fawcett Columbine, New York. 1990. Eberspächer, Cord/Wiechmann, Gerhard: "Erfolg Revolution kann Krieg entscheiden". Der Einsatz von S.M.H. LIBAU im irischen Osteraufstand 1916 ("Successful revolution may decide war". The use of S.M.H. LIBAU in the Irish Easter rising 1916), in: Schiff & Zeit, Nr. 67, Frühjahr 2008, S. 2–16. Feeney, Brian, Sinn Féin: A Hundred Turbulent Years, O'Brien Press, 2002, Foster, R. F. Vivid Faces: The Revolutionary Generation in Ireland, 1890–1923 (2015) excerpt Foy, Michael and Barton, Brian, The Easter Rising Greaves, C. Desmond, The Life and Times of James Connolly Hennessey, Thomas, Dividing Ireland, World War I and Partition, The passing of the Home Rule Bill (Routledge Press, 1998) Jackson, Alvin, Home Rule, an Irish History 1800–2000 (Phoenix Press, 2003), Kee, Robert, The Green Flag Kostick, Conor & Collins, Lorcan, The Easter Rising, A Guide to Dublin in 1916 Lyons, F.S.L., Ireland Since the Famine Martin, F.X. (ed.), Leaders and Men of the Easter Rising, Dublin 1916 Macardle, Dorothy, The Irish Republic (Dublin 1951) MacDonagh, Oliver, Ireland: The Union and its aftermath, George Allen & Unwin, 1977, McKeown, Eitne, 'A Family in the Rising' Dublin Electricity Supply Board Journal 1966. McNally, Michael and Dennis, Peter, Easter Rising 1916: Birth of the Irish Republic (London 2007), Osprey Publishing, Moran, Seán Farrell, Patrick Pearse and the Politics of Redemption, 1994, Catholic University of America Press, "Patrick Pearse and Patriotic Soteriology," in Yonah Alexander and Alan O'Day, eds, The Irish Terrorism Experience, (Aldershot: Dartmouth) 1991 Murphy, John A., Ireland in the Twentieth Century Ó Broin, Leon, Dublin Castle & the 1916 Rising, Sidgwick & Jackson, 1970 O'Farrell, Elizabeth, 'Events of Easter Week' The Catholic Bulletin (Dublin 1917). Purdon, Edward, The 1916 Rising Ryan, Annie, Witnesses: Inside the Easter Rising Shaw, Francis, S.J., "The Canon of Irish History: A Challenge", in Studies: An Irish Quarterly Review, LXI, 242, 1972, pp. 113–52 Stephens, James, The Insurrection in Dublin Townshend, Charles, Easter 1916: The Irish Rebellion (London 2006) Historiography Bunbury, Turtle. Easter Dawn – The 1916 Rising (Mercier Press, 2015) McCarthy, Mark. Ireland's 1916 Rising: Explorations of History-Making, Commemoration & Heritage in Modern Times (2013), historiography excerpt Neeson, Eoin, Myths from Easter 1916, Aubane Historical Society (Cork, 2007), External links Easter 1916 – Digital Heritage Website The 1916 Rising – an Online Exhibition. National Library of Ireland The Letters of 1916 – Crowdsourcing Project Trinity College Dublin Lillian Stokes (1878–1955): account of the 1916 Easter Rising Primary and secondary sources relating to the Easter Rising (Sources database, National Library of Ireland) Easter Rising site and walking tour of 1916 Dublin News articles and letters to the editor in The Age, 27 April 1916 The 1916 Rising by Norman Teeling a 10-painting suite acquired by An Post for permanent display at the General Post Office (Dublin) The Easter Rising—BBC History'' The Irish Story archive on the Rising Easter Rising website The Discussion On Self-Determination Summed Up Lenin's discussion of the importance of the rebellion appears in Section 10: The Irish Rebellion of 1916 Bureau of Military History – Witness Statements Online (PDF files) 1916 in Ireland 20th-century rebellions Anti-imperialism in Europe April 1916 events Conflicts in 1916 Attacks in Ireland History of County Dublin History of Ireland (1801–1923) Ireland–United Kingdom relations Rebellions in Ireland Wars involving the United Kingdom
10370
https://en.wikipedia.org/wiki/Evangelicalism
Evangelicalism
Evangelicalism (), also called evangelical Christianity, or evangelical Protestantism, is a worldwide interdenominational movement within Protestant Christianity that maintains the belief that the essence of the Gospel consists of the doctrine of salvation by grace alone, solely through faith in Jesus' atonement. Evangelicals believe in the centrality of the conversion or "born again" experience in receiving salvation, in the authority of the Bible as God's revelation to humanity, and in spreading the Christian message. The movement has long had a presence in the Anglosphere before spreading further afield in the 19th, 20th and early 21st centuries. Its origins are usually traced to 1738, with various theological streams contributing to its foundation, including Pietism, Puritanism, Quakerism, Presbyterianism and Moravianism (in particular its bishop Nicolaus Zinzendorf and his community at Herrnhut). Preeminently, John Wesley and other early Methodists were at the root of sparking this new movement during the First Great Awakening. Today, evangelicals are found across many Protestant branches, as well as in various denominations not subsumed to a specific branch. Among leaders and major figures of the evangelical Protestant movement were Nicolaus Zinzendorf, George Fox, John Wesley, George Whitefield, Jonathan Edwards, Billy Graham, Bill Bright, Harold Ockenga, John Stott and Martyn Lloyd-Jones. The movement gained great momentum during the 18th and 19th centuries with the Great Awakenings in Great Britain and the United States. In 2016, there were an estimated 619 million evangelicals in the world, meaning that one in four Christians would be classified as evangelical. The United States has the largest proportion of evangelicals in the world. American evangelicals are a quarter of that nation's population and its single largest religious group. As a trans-denominational coalition, evangelicals can be found in nearly every Protestant denomination and tradition, particularly within the Reformed (Calvinist), Baptist, Methodist (Wesleyan-Arminian), Moravian, Pentecostal and charismatic churches. Terminology The word evangelical has its etymological roots in the Greek word for "gospel" or "good news": euangelion, from eu "good", angel- the stem of, among other words, angelos "messenger, angel", and the neuter suffix -ion. By the English Middle Ages, the term had expanded semantically to include not only the message, but also the New Testament which contained the message as well as more specifically the Gospels, which portray the life, death, and resurrection of Jesus. The first published use of evangelical in English was in 1531, when William Tyndale wrote "He exhorteth them to proceed constantly in the evangelical truth." One year later, Thomas More wrote the earliest recorded use in reference to a theological distinction when he spoke of "Tyndale [and] his evangelical brother Barns". During the Reformation, Protestant theologians embraced the term as referring to "gospel truth". Martin Luther referred to the evangelische Kirche ("evangelical church") to distinguish Protestants from Catholics in the Catholic Church. Into the 21st century, evangelical has continued in use as a synonym for (mainline) Protestant in continental Europe, and elsewhere. This usage is reflected in the names of Protestant denominations, such as the Evangelical Church in Germany (a union of Lutheran and Reformed churches) and the Evangelical Lutheran Church in America. In the English-speaking world, evangelical was commonly applied to describe the series of revival movements that occurred in Britain and North America during the late 18th and early 19th centuries. Christian historian David W. Bebbington writes that, "Although 'evangelical', with a lower-case initial, is occasionally used to mean 'of the gospel', the term 'Evangelical', with a capital letter, is applied to any aspect of the movement beginning in the 1730s." According to the Oxford English Dictionary, evangelicalism was first used in 1831. In 1812, the term "evangelicalism" appeared in "The History of Lynn" by William Richards. In the summer of 1811 the term "evangelicalists" was used in "The Sin and Danger of Schism" by Rev. Dr. Andrew Burnaby, Archdeacon of Leicester. The term may also be used outside any religious context to characterize a generic missionary, reforming, or redeeming impulse or purpose. For example, The Times Literary Supplement refers to "the rise and fall of evangelical fervor within the Socialist movement". This usage refers to evangelism, rather than evangelicalism as discussed here; though sharing an etymology and conceptual basis, the words have diverged significantly in meaning. Beliefs Each church has a particular confession of faith and a common confession of faith if it is a member of a denomination. One influential definition of evangelicalism has been proposed by historian David Bebbington. Bebbington notes four distinctive aspects of evangelical faith: conversionism, biblicism, crucicentrism, and activism, noting, "Together they form a quadrilateral of priorities that is the basis of Evangelicalism." Conversionism, or belief in the necessity of being "born again", has been a constant theme of evangelicalism since its beginnings. To evangelicals, the central message of the gospel is justification by faith in Christ and repentance, or turning away, from sin. Conversion differentiates the Christian from the non-Christian, and the change in life it leads to is marked by both a rejection of sin and a corresponding personal holiness of life. A conversion experience can be emotional, including grief and sorrow for sin followed by great relief at receiving forgiveness. The stress on conversion differentiates evangelicalism from other forms of Protestantism by the associated belief that an assurance will accompany conversion. Among evangelicals, individuals have testified to both sudden and gradual conversions. Biblicism is reverence for the Bible and high regard for biblical authority. All evangelicals believe in biblical inspiration, though they disagree over how this inspiration should be defined. Many evangelicals believe in biblical inerrancy, while other evangelicals believe in biblical infallibility. Crucicentrism is the centrality that evangelicals give to the Atonement, the saving death and the resurrection of Jesus, that offers forgiveness of sins and new life. This is understood most commonly in terms of a substitutionary atonement, in which Christ died as a substitute for sinful humanity by taking on himself the guilt and punishment for sin. Activism describes the tendency toward active expression and sharing of the gospel in diverse ways that include preaching and social action. This aspect of evangelicalism continues to be seen today in the proliferation of evangelical voluntary religious groups and parachurch organizations. Church government and membership The word church has several meanings among evangelicals. It can refer to the universal church (the body of Christ) including all Christians everywhere. It can also refer to the church (congregation), which is the visible representation of the invisible church. It is responsible for teaching and administering the sacraments or ordinances (baptism and the Lord's Supper, but some evangelicals also count footwashing as an ordinance as well). Many evangelical traditions adhere to the doctrine of the believers' Church, which teaches that one becomes a member of the Church by the new birth and profession of faith. This originated in the Radical Reformation with Anabaptists but is held by denominations that practice believer's baptism. Evangelicals in the Anglican, Methodist and Reformed traditions practice infant baptism as one's initiation into the community of faith and the New Testament counterpart to circumcision, while also stressing the necessity of personal conversion later in life for salvation. Some evangelical denominations operate according to episcopal polity or presbyterian polity. However, the most common form of church government within Evangelicalism is congregational polity. This is especially common among non-denominational evangelical churches. Many churches are members of a national and international denomination for a cooperative missionary, humanitarian and theological relationship. Common ministries within evangelical congregations are pastor, elder, deacon, evangelist and worship leader. The ministry of bishop with a function of supervision over churches on a regional or national scale is present in all the Evangelical Christian denominations, even if the titles president of the council or general overseer are mainly used for this function. The term bishop is explicitly used in certain denominations. Some evangelical denominations are members of the World Evangelical Alliance and its 129 national alliances. Some evangelical denominations officially authorize the ordination of women in churches. The female ministry is justified by the fact that Mary Magdalene was chosen by Jesus to announce his resurrection to the apostles. The first Baptist woman who was consecrated pastor is the American Clarissa Danforth in the denomination Free Will Baptist in 1815. In 1882, in the National Baptist Convention, USA. In the Assemblies of God of the United States, since 1927. In 1961, in the Progressive National Baptist Convention. In 1975, in The Foursquare Church. Worship service For evangelicals, there are three interrelated meanings to the term worship. It can refer to living a "God-pleasing and God-focused way of life", specific actions of praise to God, and a public Worship service. Diversity characterizes evangelical worship practices. Liturgical, contemporary, charismatic and seeker-sensitive worship styles can all be found among evangelical churches. Overall, evangelicals tend to be more flexible and experimental with worship practices than mainline Protestant churches. It is usually run by a Christian pastor. A service is often divided into several parts, including congregational singing, a sermon, intercessory prayer, and other ministry. During worship there is usually a nursery for babies. Children and young people receive an adapted education, Sunday school, in a separate room. Places of worship are usually called "churches". In some megachurches, the building is called "campus". The architecture of places of worship is mainly characterized by its sobriety. The latin cross is one of the only spiritual symbols that can usually be seen on the building of an evangelical church and that identifies the place's belonging. Some services take place in theaters, schools or multipurpose rooms, rented for Sunday only. Because of their understanding of the second of the Ten Commandments, some evangelicals do not have religious material representations such as statues, icons, or paintings in their places of worship. There is usually a baptistery on what is variously known as the chancel (also called sanctuary) or stage, though they may be alternatively found in a separate room, for the baptisms by immersion. In some countries of the world which apply sharia or communism, government authorizations for worship are complex for Evangelical Christians. Because of persecution of Christians, Evangelical house churches are the only option for many Christians to live their faith in community. For example, there is the Evangelical house churches in China movement. The meetings thus take place in private houses, in secret and in "illegality". The main Christian feasts celebrated by the Evangelicals are Christmas, Pentecost (by a majority of Evangelical denominations) and Easter for all believers. Education Evangelical churches have been involved in the establishment of elementary and secondary schools. It also enabled the development of several bible colleges, colleges and universities in the United States during the 19th century. Other evangelical universities have been established in various countries of the world. The Council for Christian Colleges and Universities was founded in 1976. In 2021, the CCCU had 180 members in 21 countries. The Association of Christian Schools International was founded in 1978 by 3 American associations of evangelical Christian schools. Various international schools have joined the network. In 2021, it had 23,000 schools in 100 countries. The International Council for Evangelical Theological Education was founded in 1980 by the Theological Commission of the World Evangelical Alliance. In 2015, it would have 1,000 member schools in 113 countries. Sexuality In matters of sexuality, several evangelical churches promote the virginity pledge among young evangelical Christians, who are invited to commit themselves during a public ceremony at sexual abstinence until Christian marriage. This pledge is often symbolized by a purity ring. In evangelical churches, young adults and unmarried couples are encouraged to marry early in order to live a sexuality according to the will of God. A 2009 American study of the National Campaign to Prevent Teen and Unplanned Pregnancy reported that 80 percent of young, unmarried evangelicals had had sex and that 42 percent were in a relationship with sex, when surveyed. The majority of evangelical Christian churches are against abortion and support adoption agencies and social support agencies for young mothers. Masturbation is seen as forbidden by some evangelical pastors because of the sexual thoughts that may accompany it. However, evangelical pastors have pointed out that the practice has been erroneously associated with Onan by scholars, that it is not a sin if it is not practiced with fantasies or compulsively, and that it was useful in a married couple, if his or her partner did not have the same frequency of sexual needs. Some evangelical churches speak only of sexual abstinence and do not speak of sexuality in marriage. Other evangelical churches in the United States and Switzerland speak of satisfying sexuality as a gift from God and a component of a Christian marriage harmonious, in messages during worship services or conferences. Many evangelical books and websites are specialized on the subject. The book The Act of Marriage: The Beauty of Sexual Love published in 1976 by Baptist pastor Tim LaHaye and his wife Beverly LaHaye was a pioneer in the field. The perceptions of homosexuality in the Evangelical Churches are varied. They range from liberal to fundamentalist or moderate Conservative and neutral. A 2011 Pew Research Center study found that 84 percent of evangelical leaders surveyed believed homosexuality should be discouraged. It is in the fundamentalist conservative positions, that there are anti-gay activists on TV or radio who claim that homosexuality is the cause of many social problems, such as terrorism. Some churches have a Conservative moderate position. Although they do not approve homosexual practices, they show sympathy and respect for homosexuals. Some evangelical denominations have adopted neutral positions, leaving the choice to local churches to decide for same-sex marriage. There are some international evangelical denominations that are gay-friendly. Other views For a majority of evangelical Christians, a belief in biblical inerrancy ensures that the miracles described in the Bible are still relevant and may be present in the life of the believer. Healings, academic or professional successes, the birth of a child after several attempts, the end of an addiction, etc., would be tangible examples of God's intervention with the faith and prayer, by the Holy Spirit. In the 1980s, the neo-charismatic movement re-emphasized miracles and faith healing. In certain churches, a special place is thus reserved for faith healings with laying on of hands during worship services or for evangelization campaigns. Faith healing or divine healing is considered to be an inheritance of Jesus acquired by his death and resurrection. In terms of science and the origin of the earth and human life, some evangelicals support young Earth creationism. For example, Answers in Genesis, founded in Australia in 1986, is an evangelical organization that defends this thesis. In 2007, it founded the Creation Museum in Petersburg, in Kentucky and in 2016 the Ark Encounter in Williamstown. Since the end of the 20th century, literalist creationism has been abandoned by some evangelicals in favor of intelligent design. For example, the think tank Discovery Institute, established in 1991 in Seattle, defends this thesis. Other evangelicals who accept the scientific consensus on evolution and the age of Earth believe in theistic evolution or evolutionary creation—the notion that God used the process of evolution to create life; a Christian organization that espouses this view is the BioLogos Foundation. Diversity The Reformed, Baptist, Methodist, Pentecostal, Churches of Christ, Plymouth Brethren, charismatic Protestant, and nondenominational Protestant traditions have all had strong influence within contemporary evangelicalism. Some Anabaptist denominations (such as the Brethren Church) are evangelical, and some Lutherans self-identify as evangelicals. There are also evangelical Anglicans and Quakers. In the early 20th century, evangelical influence declined within mainline Protestantism and Christian fundamentalism developed as a distinct religious movement. Between 1950 and 2000 a mainstream evangelical consensus developed that sought to be more inclusive and more culturally relevant than fundamentalism while maintaining conservative Protestant teaching. According to Brian Stanley, professor of world Christianity, this new postwar consensus is termed neo-evangelicalism, the new evangelicalism, or simply evangelicalism in the United States, while in Great Britain and in other English-speaking countries, it is commonly termed conservative evangelicalism. Over the years, less-conservative evangelicals have challenged this mainstream consensus to varying degrees. Such movements have been classified by a variety of labels, such as progressive, open, post-conservative, and post-evangelical. Outside of self-consciously evangelical denominations, there is a broader "evangelical streak" in mainline Protestantism. Mainline Protestant churches predominantly have a liberal theology while evangelical churches predominantly have a conservative or moderate theology. Some commentators have complained that Evangelicalism as a movement is too broad and its definition too vague to be of any practical value. Theologian Donald Dayton has called for a "moratorium" on use of the term. Historian D. G. Hart has also argued that "evangelicalism needs to be relinquished as a religious identity because it does not exist". Christian fundamentalism Fundamentalism regards biblical inerrancy, the virgin birth of Jesus, penal substitutionary atonement, the literal resurrection of Christ, and the Second Coming of Christ as fundamental Christian doctrines. Fundamentalism arose among evangelicals in the 1920s to combat modernist or liberal theology in mainline Protestant churches. Failing to reform the mainline churches, fundamentalists separated from them and established their own churches, refusing to participate in ecumenical organizations such as the National Council of Churches (founded in 1950). They also made separatism (rigid separation from non-fundamentalist churches and their culture) a true test of faith. According to historian George Marsden, most fundamentalists are Baptists and dispensationalist. Mainstream varieties Mainstream evangelicalism is historically divided between two main orientations: confessionalism and revivalism. These two streams have been critical of each other. Confessional evangelicals have been suspicious of unguarded religious experience, while revivalist evangelicals have been critical of overly intellectual teaching that (they suspect) stifles vibrant spirituality. In an effort to broaden their appeal, many contemporary evangelical congregations intentionally avoid identifying with any single form of evangelicalism. These "generic evangelicals" are usually theologically and socially conservative, but their churches often present themselves as nondenominational (or, if a denominational member, strongly de-emphasizing its ties to such, such as a church name which excludes the denominational name) within the broader evangelical movement. In the words of Albert Mohler, president of the Southern Baptist Theological Seminary, confessional evangelicalism refers to "that movement of Christian believers who seek a constant convictional continuity with the theological formulas of the Protestant Reformation". While approving of the evangelical distinctions proposed by Bebbington, confessional evangelicals believe that authentic evangelicalism requires more concrete definition in order to protect the movement from theological liberalism and from heresy. According to confessional evangelicals, subscription to the ecumenical creeds and to the Reformation-era confessions of faith (such as the confessions of the Reformed churches) provides such protection. Confessional evangelicals are represented by conservative Presbyterian churches (emphasizing the Westminster Confession), certain Baptist churches that emphasize historic Baptist confessions such as the Second London Confession, evangelical Anglicans who emphasize the Thirty-Nine Articles (such as in the Anglican Diocese of Sydney, Australia), Methodist churches that adhere to the Articles of Religion, and some confessional Lutherans with pietistic convictions. The emphasis on historic Protestant orthodoxy among confessional evangelicals stands in direct contrast to an anti-creedal outlook that has exerted its own influence on evangelicalism, particularly among churches strongly affected by revivalism and by pietism. Revivalist evangelicals are represented by some quarters of Methodism, the Wesleyan Holiness churches, the Pentecostal and charismatic churches, some Anabaptist churches, and some Baptists and Presbyterians. Revivalist evangelicals tend to place greater emphasis on religious experience than their confessional counterparts. Non-conservative varieties Evangelicals dissatisfied with the movement's conservative mainstream have been variously described as progressive evangelicals, post-conservative evangelicals, Open Evangelicals and post-evangelicals. Progressive evangelicals, also known as the evangelical left, share theological or social views with other progressive Christians while also identifying with evangelicalism. Progressive evangelicals commonly advocate for women's equality, pacifism and social justice. As described by Baptist theologian Roger E. Olson, post-conservative evangelicalism is a theological school of thought that adheres to the four marks of evangelicalism, while being less rigid and more inclusive of other Christians. According to Olson, post-conservatives believe that doctrinal truth is secondary to spiritual experience shaped by Scripture. Post-conservative evangelicals seek greater dialogue with other Christian traditions and support the development of a multicultural evangelical theology that incorporates the voices of women, racial minorities, and Christians in the developing world. Some post-conservative evangelicals also support open theism and the possibility of near universal salvation. The term "Open Evangelical" refers to a particular Christian school of thought or churchmanship, primarily in Great Britain (especially in the Church of England). Open evangelicals describe their position as combining a traditional evangelical emphasis on the nature of scriptural authority, the teaching of the ecumenical creeds and other traditional doctrinal teachings, with an approach towards culture and other theological points-of-view which tends to be more inclusive than that taken by other evangelicals. Some open evangelicals aim to take a middle position between conservative and charismatic evangelicals, while others would combine conservative theological emphases with more liberal social positions. British author Dave Tomlinson coined the phrase post-evangelical to describe a movement comprising various trends of dissatisfaction among evangelicals. Others use the term with comparable intent, often to distinguish evangelicals in the emerging church movement from post-evangelicals and anti-evangelicals. Tomlinson argues that "linguistically, the distinction [between evangelical and post-evangelical] resembles the one that sociologists make between the modern and postmodern eras". History Background Evangelicalism emerged in the 18th century, first in Britain and its North American colonies. Nevertheless, there were earlier developments within the larger Protestant world that preceded and influenced the later evangelical revivals. According to religion scholar Randall Balmer, Evangelicalism resulted "from the confluence of Pietism, Presbyterianism, and the vestiges of Puritanism. Evangelicalism picked up the peculiar characteristics from each strain – warmhearted spirituality from the Pietists (for instance), doctrinal precisionism from the Presbyterians, and individualistic introspection from the Puritans". Historian Mark Noll adds to this list High Church Anglicanism, which contributed to Evangelicalism a legacy of "rigorous spirituality and innovative organization". During the 17th century, Pietism emerged in Europe as a movement for the revival of piety and devotion within the Lutheran church. As a protest against "cold orthodoxy" or against an overly formal and rational Christianity, Pietists advocated for an experiential religion that stressed high moral standards both for clergy and for lay people. The movement included both Christians who remained in the liturgical, state churches as well as separatist groups who rejected the use of baptismal fonts, altars, pulpits, and confessionals. As Radical Pietism spread, the movement's ideals and aspirations influenced and were absorbed by evangelicals. When George Fox, who is considered the father of Quakerism, was eleven, he wrote that God spoke to him about "keeping pure and being faithful to God and man." After being troubled when his friends asked him to drink alcohol with them at the age of nineteen, Fox spent the night in prayer and soon afterwards, he felt left his home to search for spiritual satisfaction, which lasted four years. In his Journal, at age 23, he believed that he "found through faith in Jesus Christ the full assurance of salvation." Fox began to spread his message and his emphasis on "the necessity of an inward transformation of heart", as well as the possibility of Christian perfection, drew opposition from English clergy and laity. In the mid-1600s, many people became attracted to Fox's preaching and his followers became known as the Religious Society of Friends. By 1660, the Quakers grew to 35,000 and are considered to be among the first in the evangelical Christian movement. The Presbyterian heritage not only gave Evangelicalism a commitment to Protestant orthodoxy but also contributed a revival tradition that stretched back to the 1620s in Scotland and northern Ireland. Central to this tradition was the communion season, which normally occurred in the summer months. For Presbyterians, celebrations of Holy Communion were infrequent but popular events preceded by several Sundays of preparatory preaching and accompanied with preaching, singing, and prayers. Puritanism combined Calvinism with a doctrine that conversion was a prerequisite for church membership and with an emphasis on the study of Scripture by lay people. It took root in the colonies of New England, where the Congregational church became an established religion. There the Half-Way Covenant of 1662 allowed parents who had not testified to a conversion experience to have their children baptized, while reserving Holy Communion for converted church members alone. By the 18th century Puritanism was in decline and many ministers expressed alarm at the loss of religious piety. This concern over declining religious commitment led many people to support evangelical revival. High-Church Anglicanism also exerted influence on early Evangelicalism. High Churchmen were distinguished by their desire to adhere to primitive Christianity. This desire included imitating the faith and ascetic practices of early Christians as well as regularly partaking of Holy Communion. High Churchmen were also enthusiastic organizers of voluntary religious societies. Two of the most prominent were the Society for Promoting Christian Knowledge (founded in London in 1698), which distributed Bibles and other literature and built schools, and the Society for the Propagation of the Gospel in Foreign Parts, which was founded in England in 1701 to facilitate missionary work in British colonies (especially among colonists in North America). Samuel and Susanna Wesley, the parents of John and Charles Wesley (born 1703 and 1707 respectively), were both devoted advocates of High-Church ideas. 18th century In the 1730s, Evangelicalism emerged as a distinct phenomenon out of religious revivals that began in Britain and New England. While religious revivals had occurred within Protestant churches in the past, the evangelical revivals that marked the 18th century were more intense and radical. Evangelical revivalism imbued ordinary men and women with a confidence and enthusiasm for sharing the gospel and converting others outside of the control of established churches, a key discontinuity with the Protestantism of the previous era. It was developments in the doctrine of assurance that differentiated Evangelicalism from what went before. Bebbington says, "The dynamism of the Evangelical movement was possible only because its adherents were assured in their faith." He goes on: The first local revival occurred in Northampton, Massachusetts, under the leadership of Congregationalist minister Jonathan Edwards. In the fall of 1734, Edwards preached a sermon series on "Justification By Faith Alone", and the community's response was extraordinary. Signs of religious commitment among the laity increased, especially among the town's young people. The revival ultimately spread to 25 communities in western Massachusetts and central Connecticut until it began to wane by the spring of 1735. Edwards was heavily influenced by Pietism, so much so that one historian has stressed his "American Pietism". One practice clearly copied from European Pietists was the use of small groups divided by age and gender, which met in private homes to conserve and promote the fruits of revival. At the same time, students at Yale University (at that time Yale College) in New Haven, Connecticut, were also experiencing revival. Among them was Aaron Burr, Sr., who would become a prominent Presbyterian minister and future president of Princeton University. In New Jersey, Gilbert Tennent, another Presbyterian minister, was preaching the evangelical message and urging the Presbyterian Church to stress the necessity of converted ministers. The spring of 1735 also marked important events in England and Wales. Howell Harris, a Welsh schoolteacher, had a conversion experience on May 25 during a communion service. He described receiving assurance of God's grace after a period of fasting, self-examination, and despair over his sins. Sometime later, Daniel Rowland, the Anglican curate of Llangeitho, Wales, experienced conversion as well. Both men began preaching the evangelical message to large audiences, becoming leaders of the Welsh Methodist revival. At about the same time that Harris experienced conversion in Wales, George Whitefield was converted at Oxford University after his own prolonged spiritual crisis. Whitefield later remarked, "About this time God was pleased to enlighten my soul, and bring me into the knowledge of His free grace, and the necessity of being justified in His sight by faith only". Whitefield's fellow Holy Club member and spiritual mentor, Charles Wesley, reported an evangelical conversion in 1738. In the same week, Charles' brother and future founder of Methodism, John Wesley was also converted after a long period of inward struggle. During this spiritual crisis, John Wesley was directly influenced by Pietism. Two years before his conversion, Wesley had traveled to the newly established colony of Georgia as a missionary for the Society for Promoting Christian Knowledge. He shared his voyage with a group of Moravian Brethren led by August Gottlieb Spangenberg. The Moravians' faith and piety deeply impressed Wesley, especially their belief that it was a normal part of Christian life to have an assurance of one's salvation. Wesley recounted the following exchange with Spangenberg on February 7, 1736: Wesley finally received the assurance he had been searching for at a meeting of a religious society in London. While listening to a reading from Martin Luther's preface to the Epistle to the Romans, Wesley felt spiritually transformed: Pietism continued to influence Wesley, who had translated 33 Pietist hymns from German to English. Numerous German Pietist hymns became part of the English Evangelical repertoire. By 1737, Whitefield had become a national celebrity in England where his preaching drew large crowds, especially in London where the Fetter Lane Society had become a center of evangelical activity. Whitfield joined forces with Edwards to "fan the flame of revival" in the Thirteen Colonies in 1739–40. Soon the First Great Awakening stirred Protestants throughout America. Evangelical preachers emphasized personal salvation and piety more than ritual and tradition. Pamphlets and printed sermons crisscrossed the Atlantic, encouraging the revivalists. The Awakening resulted from powerful preaching that gave listeners a sense of deep personal revelation of their need of salvation by Jesus Christ. Pulling away from ritual and ceremony, the Great Awakening made Christianity intensely personal to the average person by fostering a deep sense of spiritual conviction and redemption, and by encouraging introspection and a commitment to a new standard of personal morality. It reached people who were already church members. It changed their rituals, their piety and their self-awareness. To the evangelical imperatives of Reformation Protestantism, 18th century American Christians added emphases on divine outpourings of the Holy Spirit and conversions that implanted within new believers an intense love for God. Revivals encapsulated those hallmarks and forwarded the newly created Evangelicalism into the early republic. By the 1790s, the Evangelical party in the Church of England remained a small minority but were not without influence. John Newton and Joseph Milner were influential evangelical clerics. Evangelical clergy networked together through societies such as the Eclectic Society in London and the Elland Society in Yorkshire. The Old Dissenter denominations (the Baptists, Congregationalists and Quakers) were falling under evangelical influence, with the Baptists most affected and Quakers the least. Evangelical ministers dissatisfied with both Anglicanism and Methodism often chose to work within these churches. In the 1790s, all of these evangelical groups, including the Anglicans, were Calvinist in orientation. Methodism (the "New Dissent") was the most visible expression of evangelicalism by the end of the 18th century. The Wesleyan Methodists boasted around 70,000 members throughout the British Isles, in addition to the Calvinistic Methodists in Wales and the Countess of Huntingdon's Connexion, which was organized under George Whitefield's influence. The Wesleyan Methodists, however, were still nominally affiliated with the Church of England and would not completely separate until 1795, four years after Wesley's death. The Wesleyan Methodist Church's Arminianism distinguished it from the other evangelical groups. At the same time, evangelicals were an important faction within the Presbyterian Church of Scotland. Influential ministers included John Erskine, Henry Wellwood Moncrieff and Stevenson Macgill. The church's General Assembly, however, was controlled by the Moderate Party, and evangelicals were involved in the First and Second Secessions from the national church during the 18th century. 19th century The start of the 19th century saw an increase in missionary work and many of the major missionary societies were founded around this time (see Timeline of Christian missions). Both the Evangelical and high church movements sponsored missionaries. The Second Great Awakening (which actually began in 1790) was primarily an American revivalist movement and resulted in substantial growth of the Methodist and Baptist churches. Charles Grandison Finney was an important preacher of this period. In Britain in addition to stressing the traditional Wesleyan combination of "Bible, cross, conversion, and activism", the revivalist movement sought a universal appeal, hoping to include rich and poor, urban and rural, and men and women. Special efforts were made to attract children and to generate literature to spread the revivalist message. "Christian conscience" was used by the British Evangelical movement to promote social activism. Evangelicals believed activism in government and the social sphere was an essential method in reaching the goal of eliminating sin in a world drenched in wickedness. The Evangelicals in the Clapham Sect included figures such as William Wilberforce who successfully campaigned for the abolition of slavery. In the late 19th century, the revivalist Wesleyan-Holiness movement based on John Wesley's doctrine of "entire sanctification" came to the forefront, and while many adherents remained within mainline Methodism, others established new denominations, such as the Free Methodist Church and Wesleyan Methodist Church. In urban Britain the Holiness message was less exclusive and censorious. Keswickianism taught the doctrine of the second blessing in non-Methodist circles and came to influence evangelicals of the Calvinistic (Reformed) tradition, leading to the establishment of denominations such as the Christian and Missionary Alliance. John Nelson Darby of the Plymouth Brethren was a 19th-century Irish Anglican minister who devised modern dispensationalism, an innovative Protestant theological interpretation of the Bible that was incorporated in the development of modern Evangelicalism. Cyrus Scofield further promoted the influence of dispensationalism through the explanatory notes to his Scofield Reference Bible. According to scholar Mark S. Sweetnam, who takes a cultural studies perspective, dispensationalism can be defined in terms of its Evangelicalism, its insistence on the literal interpretation of Scripture, its recognition of stages in God's dealings with humanity, its expectation of the imminent return of Christ to rapture His saints, and its focus on both apocalypticism and premillennialism. During the 19th century, the megachurches, churches with more than 2,000 people, began to develop. The first evangelical megachurch, the Metropolitan Tabernacle with a 6000-seat auditorium, was inaugurated in 1861 in London by Charles Spurgeon. Dwight L. Moody founded the Illinois Street Church in Chicago. An advanced theological perspective came from the Princeton theologians from the 1850s to the 1920s, such as Charles Hodge, Archibald Alexander and B.B. Warfield. 20th century After 1910 the Fundamentalist movement dominated Evangelicalism in the early part of the 20th century; the Fundamentalists rejected liberal theology and emphasized the inerrancy of the Scriptures. Following the 1904–1905 Welsh revival, the Azusa Street Revival in 1906 began the spread of Pentecostalism in North America. The 20th century also marked by the emergence of the televangelism. Aimee Semple McPherson, who founded the megachurch Angelus Temple in Los Angeles, used radio in the 1920s to reach a wider audience. After the Scopes trial in 1925, Christian Century wrote of "Vanishing Fundamentalism." In 1929 Princeton University, once the bastion of conservative theology, added several modernists to its faculty, resulting in the departure of J. Gresham Machen and a split in the Presbyterian Church in the United States of America. Evangelicalism began to reassert itself in the second half of the 1930s. One factor was the advent of the radio as a means of mass communication. When [Charles E. Fuller] began his "Old Fashioned Revival Hour" on October 3, 1937, he sought to avoid the contentious issues that had caused fundamentalists to be characterized as narrow. One hundred forty-seven representatives from thirty-four denominations met from April 7 through 9, 1942, in St. Louis, Missouri, for a "National Conference for United Action among Evangelicals." The next year six hundred representatives in Chicago established the National Association of Evangelicals (NAE) with Harold Ockenga as its first president. The NAE was partly a reaction to the founding of the American Council of Christian Churches (ACCC) under the leadership of the fundamentalist Carl McIntire. The ACCC in turn had been founded to counter the influence of the Federal Council of Churches (later merged into the National Council of Churches), which fundamentalists saw as increasingly embracing modernism in its ecumenism. Those who established the NAE had come to view the name fundamentalist as "an embarrassment instead of a badge of honor." Evangelical revivalist radio preachers organized themselves in the National Religious Broadcasters in 1944 in order to regulate their activity. With the founding of the NAE, American Protestantism was divided into three large groups—the fundamentalists, the modernists, and the new evangelicals, who sought to position themselves between the other two. In 1947 Harold Ockenga coined the term neo-evangelicalism to identify a movement distinct from fundamentalism. The neo-evangelicals had three broad characteristics that distinguished them from the conservative fundamentalism of the ACCC: Each of these characteristics took concrete shape by the mid-1950s. In 1947 Carl F. H. Henry's book The Uneasy Conscience of Fundamentalism called on evangelicals to engage in addressing social concerns: In the same year Fuller Theological Seminary was established with Ockenga as its president and Henry as the head of its theology department. The strongest impetus, however, was the development of the work of Billy Graham. Graham had begun his career with the support of McIntire and fellow conservatives Bob Jones Sr. and John R. Rice. However, in broadening the reach of his London crusade of 1954, he accepted the support of denominations that those men disapproved of. When he went even further in his 1957 New York crusade, conservatives strongly condemned him and withdrew their support. According to William Martin: A fourth development—the founding of Christianity Today (CT) with Henry as its first editor—was strategic in giving neo-evangelicals a platform to promote their views and in positioning them between the fundamentalists and modernists. In a letter to Harold Lindsell, Graham said that CT would: The post-war period also saw growth of the ecumenical movement and the founding of the World Council of Churches, which the Evangelical community generally regarded with suspicion. In the United Kingdom, John Stott (1921–2011) and Martyn Lloyd-Jones (1899–1981) emerged as key leaders in Evangelical Christianity. The charismatic movement began in the 1960s and resulted in the introduction of Pentecostal theology and practice into many mainline denominations. New charismatic groups such as the Association of Vineyard Churches and Newfrontiers trace their roots to this period (see also British New Church Movement). The closing years of the 20th century saw controversial postmodern influences entering some parts of Evangelicalism, particularly with the emerging church movement. Also controversial is the relationship between spiritualism and contemporary military metaphors and practices animating many branches of Christianity but especially relevant in the sphere of Evangelicalism. Spiritual warfare is the latest iteration in a long-standing partnership between religious organization and militarization, two spheres that are rarely considered together, although aggressive forms of prayer have long been used to further the aims of expanding Evangelical influence. Major moments of increased political militarization have occurred concurrently with the growth of prominence of militaristic imagery in evangelical communities. This paradigmatic language, paired with an increasing reliance on sociological and academic research to bolster militarized sensibility, serves to illustrate the violent ethos that effectively underscores militarized forms of evangelical prayer. 21st century In Nigeria, evangelical megachurches, such as Redeemed Christian Church of God and Living Faith Church Worldwide, have built autonomous cities with houses, supermarkets, banks, universities, and power plants. Evangelical Christian film production societies were founded in the early 2000s, such as Sherwood Pictures and Pure Flix . The growth of evangelical churches continues with the construction of new places of worship or enlargements in various regions of the world. Global statistics According to a 2011 Pew Forum study on global Christianity, 285,480,000 or 13.1 percent of all Christians are Evangelicals. These figures do not include the Pentecostalism and Charismatic movements. The study states that the category "Evangelicals" should not be considered as a separate category of "Pentecostal and Charismatic" categories, since some believers consider themselves in both movements where their church is affiliated with an Evangelical association. In 2015, the World Evangelical Alliance is "a network of churches in 129 nations that have each formed an Evangelical alliance and over 100 international organizations joining together to give a world-wide identity, voice, and platform to more than 600 million Evangelical Christians". The Alliance was formed in 1951 by Evangelicals from 21 countries. It has worked to support its members to work together globally. According to Sébastien Fath of CNRS, in 2016, there are 619 million Evangelicals in the world, one in four Christians. In 2017, about 630 million, an increase of 11 million, including Pentecostals. Operation World estimates the number of Evangelicals at 545.9 million, which makes for 7.9 percent of the world's population. From 1960 to 2000, the global growth of the number of reported Evangelicals grew three times the world's population rate, and twice that of Islam. According to Operation World, the Evangelical population's current annual growth rate is 2.6 percent, still more than twice the world's population growth rate. Africa In the 21st century, there are Evangelical churches active in Sudan, Angola, Mozambique, Zimbabwe, Malawi, Rwanda, Uganda, Ghana, Kenya, Zambia, South Africa, and Nigeria. They have grown especially since independence came in the 1960s, the strongest movements are based on Pentecostal-charismatic beliefs. There is a wide range of theology and organizations, including some sponsored by European missionaries and others that have emerged from African culture such as the Apostolic and Zionist Churches which enlist 40 percent of black South Africans, and their Aladura counterparts in western Africa. In Nigeria the Evangelical Church Winning All (formerly "Evangelical Church of West Africa") is the largest church organization with five thousand congregations and over three million members. It sponsors two seminaries and eight Bible colleges, and 1600 missionaries who serve in Nigeria and other countries with the Evangelical Missionary Society (EMS). There have been serious confrontations since 1999 between Muslims and Christians standing in opposition to the expansion of Sharia law in northern Nigeria. The confrontation has radicalized and politicized the Christians. Violence has been escalating. In Kenya, mainstream Evangelical denominations have taken the lead in promoting political activism and backers, with the smaller Evangelical sects of less importance. Daniel arap Moi was president 1978 to 2002 and claimed to be an Evangelical; he proved intolerant of dissent or pluralism or decentralization of power. The Berlin Missionary Society (BMS) was one of four German Protestant mission societies active in South Africa before 1914. It emerged from the German tradition of Pietism after 1815 and sent its first missionaries to South Africa in 1834. There were few positive reports in the early years, but it was especially active 1859–1914. It was especially strong in the Boer republics. The World War cut off contact with Germany, but the missions continued at a reduced pace. After 1945 the missionaries had to deal with decolonization across Africa and especially with the apartheid government. At all times the BMS emphasized spiritual inwardness, and values such as morality, hard work and self-discipline. It proved unable to speak and act decisively against injustice and racial discrimination and was disbanded in 1972. Since 1974, young professionals have been the active proselytizers of Evangelicalism in the cities of Malawi. In Mozambique, Evangelical Protestant Christianity emerged around 1900 from black migrants whose converted previously in South Africa. They were assisted by European missionaries, but, as industrial workers, they paid for their own churches and proselytizing. They prepared southern Mozambique for the spread of Evangelical Protestantism. During its time as a colonial power in Mozambique, the Catholic Portuguese government tried to counter the spread of Evangelical Protestantism. East African Revival The East African Revival was a renewal movement within Evangelical churches in East Africa during the late 1920s and 1930s that began at a Church Missionary Society mission station in the Belgian territory of Ruanda-Urundi in 1929, and spread to: Uganda, Tanzania and Kenya during the 1930s and 1940s contributing to the significant growth of the church in East Africa through the 1970s and had a visible influence on Western missionaries who were observer-participants of the movement. Latin America In modern Latin America, the term "Evangelical" is often simply a synonym for "Protestant". Brazil Protestantism in Brazil largely originated with German immigrants and British and American missionaries in the 19th century, following up on efforts that began in the 1820s. In the late nineteenth century, while the vast majority of Brazilians were nominal Catholics, the nation was underserved by priests, and for large numbers their religion was only nominal. The Catholic Church in Brazil was de-established in 1890, and responded by increasing the number of dioceses and the efficiency of its clergy. Many Protestants came from a large German immigrant community, but they were seldom engaged in proselytism and grew mostly by natural increase. Methodists were active along with Presbyterians and Baptists. The Scottish missionary Dr. Robert Reid Kalley, with support from the Free Church of Scotland, moved to Brazil in 1855, founding the first Evangelical church among the Portuguese-speaking population there in 1856. It was organized according to the Congregational policy as the Igreja Evangélica Fluminense; it became the mother church of Congregationalism in Brazil. The Seventh-day Adventists arrived in 1894, and the YMCA was organized in 1896. The missionaries promoted schools colleges and seminaries, including a liberal arts college in São Paulo, later known as Mackenzie, and an agricultural school in Lavras. The Presbyterian schools in particular later became the nucleus of the governmental system. In 1887 Protestants in Rio de Janeiro formed a hospital. The missionaries largely reached a working-class audience, as the Brazilian upper-class was wedded either to Catholicism or to secularism. By 1914, Protestant churches founded by American missionaries had 47,000 communicants, served by 282 missionaries. In general, these missionaries were more successful than they had been in Mexico, Argentina or elsewhere in Latin America. There were 700,000 Protestants by 1930, and increasingly they were in charge of their own affairs. In 1930, the Methodist Church of Brazil became independent of the missionary societies and elected its own bishop. Protestants were largely from a working-class, but their religious networks help speed their upward social mobility. Protestants accounted for fewer than 5 percent of the population until the 1960s, but grew exponentially by proselytizing and by 2000 made up over 15 percent of Brazilians affiliated with a church. Pentecostals and charismatic groups account for the vast majority of this expansion. Pentecostal missionaries arrived early in the 20th century. Pentecostal conversions surged during the 1950s and 1960s, when native Brazilians began founding autonomous churches. The most influential included Brasil Para o Cristo (Brazil for Christ), founded in 1955 by Manoel de Mello. With an emphasis on personal salvation, on God's healing power, and on strict moral codes these groups have developed broad appeal, particularly among the booming urban migrant communities. In Brazil, since the mid-1990s, groups committed to uniting black identity, antiracism, and Evangelical theology have rapidly proliferated. Pentecostalism arrived in Brazil with Swedish and American missionaries in 1911. it grew rapidly, but endured numerous schisms and splits. In some areas the Evangelical Assemblies of God churches have taken a leadership role in politics since the 1960s. They claimed major credit for the election of Fernando Collor de Mello as president of Brazil in 1990. According to the 2000 census, 15.4 percent of the Brazilian population was Protestant. A recent research conducted by the Datafolha institute shows that 25 percent of Brazilians are Protestants, of which 19 percent are followers of Pentecostal denominations. The 2010 census found out that 22.2 percent were Protestant at that date. Protestant denominations saw a rapid growth in their number of followers since the last decades of the 20th century. They are politically and socially conservative, and emphasize that God's favor translates into business success. The rich and the poor remained traditional Catholics, while most Evangelical Protestants were in the new lower-middle class–known as the "C class" (in a A–E classification system). Chesnut argues that Pentecostalism has become "one of the principal organizations of the poor," for these churches provide the sort of social network that teach members the skills they need to thrive in a rapidly developing meritocratic society. One large Evangelical church that originated from Brazil is the Universal Church of the Kingdom of God (IURD), a neo‐Pentecostal denomination begun in 1977. It now has a presence in many countries, and claims millions of members worldwide. Guatemala Protestants remained a small portion of the population until the late-twentieth century, when various Protestant groups experienced a demographic boom that coincided with the increasing violence of the Guatemalan Civil War. Two former Guatemalan heads of state, General Efraín Ríos Montt and Jorge Serrano Elías have been practicing Evangelical Protestants, as is Guatemala's former President, Jimmy Morales. General Montt, an Evangelical from the Pentecostal tradition, came to power through a coup. He escalated the war against leftist guerrilla insurgents as a holy war against atheistic "forces of evil". Asia South Korea Protestant missionary activity in Asia was most successful in Korea. American Presbyterians and Methodists arrived in the 1880s and were well received. Between 1910 and 1945, when Korea was a Japanese colony, Christianity became in part an expression of nationalism in opposition to Japan's efforts to enforce the Japanese language and the Shinto religion. In 1914, out of 16 million people, there were 86,000 Protestants and 79,000 Catholics; by 1934, the numbers were 168,000 and 147,000. Presbyterian missionaries were especially successful. Since the Korean War (1950–53), many Korean Christians have migrated to the U.S., while those who remained behind have risen sharply in social and economic status. Most Korean Protestant churches in the 21st century emphasize their Evangelical heritage. Korean Protestantism is characterized by theological conservatism coupled with an emotional revivalistic style. Most churches sponsor revival meetings once or twice a year. Missionary work is a high priority, with 13,000 men and women serving in missions across the world, putting Korea in second place just behind the US. Sukman argues that since 1945, Protestantism has been widely seen by Koreans as the religion of the middle class, youth, intellectuals, urbanites, and modernists. It has been a powerful force supporting South Korea's pursuit of modernity and emulation of the United States, and opposition to the old Japanese colonialism and to the authoritarianism of North Korea. South Korea has been referred as an "evangelical superpower" for being the home to some of the largest and most dynamic Christian churches in the world; South Korea is also second to the U.S. in the number of missionaries sent abroad. According to 2015 South Korean census, 9.7 million or 19.7 percent of the population described themselves as Protestants, many of whom belong to Presbyterian churches shaped by Evangelicalism. Philippines According to the 2010 census, 2.68 percent of Filipinos are Evangelicals. The Philippine Council of Evangelical Churches (PCEC), an organization of more than seventy Evangelical and Mainline Protestant churches, and more than 210 para-church organizations in the Philippines, counts more than 11 million members as of 2011. Europe France In 2019, it was reported that Evangelicalism in France is growing and a new Evangelical church is built every 10 days and now counts 700,000 followers across France. Great Britain John Wesley (1703–1791) was an Anglican cleric and theologian who, with his brother Charles Wesley (1707–1788) and fellow cleric George Whitefield (1714–1770), founded Methodism. After 1791 the movement became independent of the Anglican Church as the "Methodist Connection". It became a force in its own right, especially among the working class. The Clapham Sect was a group of Church of England evangelicals and social reformers based in Clapham, London; they were active 1780s–1840s). John Newton (1725–1807) was the founder. They are described by the historian Stephen Tomkins as "a network of friends and families in England, with William Wilberforce as its centre of gravity, who were powerfully bound together by their shared moral and spiritual values, by their religious mission and social activism, by their love for each other, and by marriage". Evangelicalism was a major force in the Anglican Church from about 1800 to the 1860s. By 1848 when an evangelical John Bird Sumner became Archbishop of Canterbury, between a quarter and a third of all Anglican clergy were linked to the movement, which by then had diversified greatly in its goals and they were no longer considered an organized faction. In the 21st century there are an estimated 2 million Evangelicals in the UK. According to research performed by the Evangelical Alliance in 2013, 87 percent of UK evangelicals attend Sunday morning church services every week and 63 percent attend weekly or fortnightly small groups. An earlier survey conducted in 2012 found that 92 percent of evangelicals agree it is a Christian's duty to help those in poverty and 45 percent attend a church which has a fund or scheme that helps people in immediate need, and 42 percent go to a church that supports or runs a foodbank. 63 percent believe in tithing, and so give around 10 percent of their income to their church, Christian organizations and various charities 83 percent of UK evangelicals believe that the Bible has supreme authority in guiding their beliefs, views and behavior and 52 percent read or listen to the Bible daily. The Evangelical Alliance, formed in 1846, was the first ecumenical evangelical body in the world and works to unite evangelicals, helping them listen to, and be heard by, the government, media and society. Switzerland Since the 70s, the number of Evangelicals and Evangelical congregations has grown strongly in Switzerland. Population censuses suggest that these congregations saw the number of their members triple from 1970 to 2000, qualified as a "spectacular development" by specialists. Sociologists Jörg Stolz and Olivier Favre show that the growth is due to charismatic and Pentecostal groups, while classical evangelical groups are stable and fundamentalist groups are in decline. A quantitative national census on religious congregations reveals the important diversity of evangelicalism in Switzerland. United States By the late 19th to early 20th century, most American Protestants were Evangelicals. A bitter divide had arisen between the more liberal-modernist mainline denominations and the fundamentalist denominations, the latter typically consisting of Evangelicals. Key issues included the truth of the Bible—literal or figurative, and teaching of evolution in the schools. During and after World War II, Evangelicals became increasingly organized. There was a great expansion of Evangelical activity within the United States, "a revival of revivalism." Youth for Christ was formed; it later became the base for Billy Graham's revivals. The National Association of Evangelicals formed in 1942 as a counterpoise to the mainline Federal Council of Churches. In 1942–43, the Old-Fashioned Revival Hour had a record-setting national radio audience. With this organization, though, fundamentalist groups separated from Evangelicals. According to a Pew Forum on Religion and Public Life study, Evangelicals can be broadly divided into three camps: traditionalist, centrist, and modernist. A 2004 Pew survey identified that while 70.4 percent of Americans call themselves "Christian," Evangelicals only make up 26.3 percent of the population, while Catholics make up 22 percent and mainline Protestants make up 16 percent. Among the Christian population in 2020, mainline Protestants began to outnumber Evangelicals. Evangelicals have been socially active throughout US history, a tradition dating back to the abolitionist movement of the Antebellum period and the prohibition movement. As a group, evangelicals are most often associated with the Christian right. However, a large number of black self-labeled Evangelicals, and a small proportion of liberal white self-labeled Evangelicals, gravitate towards the Christian left. Recurrent themes within American Evangelical discourse include abortion, the creation–evolution controversy, secularism, and the notion of the United States as a Christian nation. Evangelical humanitarian aid In the 1940s, in the United States, neo-evangelicalism developed the importance of social justice and Christian humanitarian aid actions in Evangelical churches. The majority of evangelical Christian humanitarian organizations were founded in the second half of the 20th century. Among those with the most partner countries, there was the foundation of World Vision International (1950), Samaritan's Purse (1970), Mercy Ships (1978), Prison Fellowship International (1979), International Justice Mission (1997). Controversies A particularly controversial doctrine within the Evangelical Churches is that of prosperity theology, which spread in the 1970s and 1980s in the United States, mainly through Pentecostal and charismatic televangelists. This doctrine is centered on the teaching of Christian faith as a means to enrich oneself financially and materially through a "positive confession" and a contribution to Christian ministries. Promises of divine healing and prosperity are guaranteed in exchange for certain amounts of donation. Fidelity in the tithe would allow one to avoid the curses of God, the attacks of the devil and poverty. The offerings and the tithe occupies a lot of time in some worship services. Often associated with the mandatory tithe, this doctrine is sometimes compared to a religious business. In 2012, the National Council of Evangelicals of France published a document denouncing this doctrine, mentioning that prosperity was indeed possible for a believer, but that this theology taken to the extreme leads to materialism and to idolatry, which is not the purpose of the gospel. Since the 1970s, multiple financial scandals of embezzlement have been reported in churches and evangelical organizations. The Evangelical Council for Financial Accountability was founded in 1979 to strengthen financial integrity in evangelical organizations and churches that voluntarily wish to be members and to undergo annual accounting audits. In Pentecostalism, drifts accompanied the teaching of faith healing. In some churches, pricing for prayer against promises of healing has been observed. Some pastors and evangelists have been charged with claiming false healings. Some churches in the United States and Nigeria, have advised their members against vaccination or medicine, stating that it is for the weak in faith and that with a positive confession, they would be immune. In 2019, in Mbandjock, in Cameroon, three deaths are linked to this position in a church. This position is not representative of all evangelical churches, as the document indicates "The Miraculous Healing" published in 2015 by the National Council of Evangelicals of France, which mentions that medicine is one of the gifts of God made to humans. Churches and certain evangelical humanitarian organizations are also involved in medical health programs. Pentecostal pastors adhering to prosperity theology have been criticized by journalists for their bling-bling lifestyle (luxury clothes, big houses, high end cars, private planes, etc.). Some churches and evangelical organizations have been criticized by victims of rape and domestic violence for their silent handling of cases of abuse by pastors or members. Failure to report abuses to the police appears to be prevalent in churches which are not members of an evangelical Christian denomination, or affiliated to denominations which attach great importance to the autonomy of the churches. The evangelical organization GRACE was founded in 2004 by the Baptist professor Boz Tchividjian to help churches combat sexual abuses, psychological abuses and physical abuses in Christian organizations. In 2011, American evangelical professor Ed Stetzer of Wheaton College attributed the increase in the number of evangelical churches claiming to be non-denominational Christianity to individualism. In 2018, Baptist theologian Russell D. Moore criticized some American Baptist churches for their moralism, emphasizing strongly the condemnation of certain personal sins, but silent on the social injustices that afflict entire populations, such as racism. In 2020, the North American Baptist Fellowship, a region of the Baptist World Alliance, officially made a commitment to social injustice and spoke out against institutionalized discrimination in the American justice system. In 2018, American professor Scot McKnight of Northern Baptist Theological Seminary criticized evangelical megachurches for the weak external accountability relationship of their leaders by not being members of a Christian denomination, further exposing them to abuse of power. The fact that evangelicals do evangelism and speak about their faith in public is often criticized by the media and associated with proselytism. According to the evangelicals, freedom of religion and freedom of expression allow them to talk about their faith like anything else. Christian films made by American evangelical production companies are also regularly associated with proselytism. According to Sarah-Jane Murray, screenwriting teacher at the US Film and Christian Television Commission United, Christian films are works of art, not proselytism. For Hubert de Kerangat, communications manager at Saje distribution, distributor of these American Christian films in France, if Christian films are "proselytes", all films are "proselytes", since each film transmits a message, whether the viewer is free to approve or not. See also Biblical literalism Child evangelism movement Christian eschatology Conservative Evangelicalism in Britain Evangelical Council of Venezuela Evangelical Fellowship of Canada List of the largest evangelical churches List of the largest evangelical church auditoriums List of evangelical Christians List of evangelical seminaries and theological colleges National Association of Evangelicals Red-Letter Christian The Scandal of the Evangelical Mind World Evangelical Alliance Worship service (evangelicalism) Notes References Citations Sources Balmer, Randall. Evangelicalism in America (Baylor University Press, 2016). xvi, 199 pp. . . . . Sutton, Matthew Avery. American Apocalypse: A History of Modern Evangelicalism (Cambridge: Belknap Press, 2014). 480 pp. online review Further reading Missions External links . . . . – Statistics from around the world including numbers of Evangelicals by country. (WEA) – An exploration of what it means to be Evangelical Christian missions Christian terminology Christian theological movements
10393
https://en.wikipedia.org/wiki/Edward%20Bulwer-Lytton
Edward Bulwer-Lytton
Edward George Earle Lytton Bulwer-Lytton, 1st Baron Lytton, PC (25 May 180318 January 1873) was an English writer and politician. He served as a Whig member of Parliament from 1831 to 1841 and a Conservative from 1851 to 1866. He was Secretary of State for the Colonies from June 1858 to June 1859, choosing Richard Clement Moody as founder of British Columbia. He declined the Crown of Greece in 1862 after King Otto abdicated. He was created Baron Lytton of Knebworth in 1866. Bulwer-Lytton's works sold and paid him well. He coined famous phrases like "the great unwashed", "pursuit of the almighty dollar", "the pen is mightier than the sword", "dweller on the threshold", and the opening phrase "It was a dark and stormy night." The sardonic Bulwer-Lytton Fiction Contest, held annually since 1982, claims to seek the "opening sentence of the worst of all possible novels". Life Bulwer was born on 25 May 1803 to General William Earle Bulwer of Heydon Hall and Wood Dalling, Norfolk and Elizabeth Barbara Lytton, daughter of Richard Warburton Lytton of Knebworth House, Hertfordshire. He had two older brothers, William Earle Lytton Bulwer (1799–1877) and Henry (1801–1872), later Lord Dalling and Bulwer. His father died and his mother moved to London when he was four years old. When he was 15, a tutor named Wallington, who tutored him at Ealing, encouraged him to publish an immature work: Ishmael and Other Poems. Around this time, Bulwer fell in love, but the woman's father induced her to marry another man. She died about the time that Bulwer went to Cambridge and he stated that her loss affected all his subsequent life. In 1822 Bulwer-Lytton entered Trinity College, Cambridge, where he met John Auldjo, but soon moved to Trinity Hall. In 1825 he won the Chancellor's Gold Medal for English verse. In the following year he took his BA degree and printed for private circulation a small volume of poems, Weeds and Wild Flowers. He purchased an army commission in 1826, but sold it in 1829 without serving. In August 1827, he married Rosina Doyle Wheeler (1802–1882), a noted Irish beauty, but against the wishes of his mother, who withdrew his allowance, forcing him to work for a living. They had two children, Emily Elizabeth Bulwer-Lytton (1828–1848), and (Edward) Robert Lytton Bulwer-Lytton, 1st Earl of Lytton (1831–1891) who became Governor-General and Viceroy of British India (1876–1880). His writing and political work strained their marriage and his infidelity embittered Rosina. In 1833 they separated acrimoniously and in 1836 the separation became legal. Three years later, Rosina published Cheveley, or the Man of Honour (1839), a near-libellous fiction satirising her husband's alleged hypocrisy. In June 1858, when her husband was standing as parliamentary candidate for Hertfordshire, she denounced him at the hustings. He retaliated by threatening her publishers, withholding her allowance and denying her access to their children. Finally he had her committed to a mental asylum, but she was released a few weeks later after a public outcry. This she chronicled in a memoir, A Blighted Life (1880). She continued attacking her husband's character for several years. The death of Bulwer's mother in 1843 meant his "exhaustion of toil and study had been completed by great anxiety and grief," and by "about the January of 1844, I was thoroughly shattered." In his mother's room at Knebworth House, which he inherited, he "had inscribed above the mantelpiece a request that future generations preserve the room as his beloved mother had used it." It remains hardly changed to this day. On 20 February 1844, in accordance with his mother's will, he changed his surname from Bulwer to Bulwer-Lytton and assumed the arms of Lytton by royal licence. His widowed mother had done the same in 1811. His brothers remained plain "Bulwer". By chance Bulwer-Lytton encountered a copy of "Captain Claridge's work on the "Water Cure", as practised by Priessnitz, at Graefenberg", and "making allowances for certain exaggerations therein", pondered the option of travelling to Graefenberg, but preferred to find something closer to home, with access to his own doctors in case of failure: "I who scarcely lived through a day without leech or potion!". After reading a pamphlet by Doctor James Wilson, who operated a hydropathic establishment with James Manby Gully at Malvern, he stayed there for "some nine or ten weeks", after which he "continued the system some seven weeks longer under Doctor Weiss, at Petersham", then again at "Doctor Schmidt's magnificent hydropathic establishment at Boppart" (at the former Marienberg Convent at Boppard), after developing a cold and fever upon his return home. When Otto, King of Greece abdicated in 1862, Bulwer-Lytton was offered the Greek Crown, but declined. The English Rosicrucian society, founded in 1867 by Robert Wentworth Little, claimed Bulwer-Lytton as their "Grand Patron", but he wrote to the society complaining that he was "extremely surprised" by their use of the title, as he had "never sanctioned such." Nevertheless, a number of esoteric groups have continued to claim Bulwer-Lytton as their own, chiefly because some of his writings – such as the 1842 book Zanoni – have included Rosicrucian and other esoteric notions. According to the Fulham Football Club, he once resided in the original Craven Cottage, today the site of their stadium. Bulwer-Lytton had long suffered from a disease of the ear, and for the last two or three years of his life lived in Torquay nursing his health. After an operation to cure deafness, an abscess formed in the ear and burst; he endured intense pain for a week and died at 2 am on 18 January 1873, just short of his 70th birthday. The cause of death was unclear but it was thought the infection had affected his brain and caused a fit. Rosina outlived him by nine years. Against his wishes, Bulwer-Lytton was honoured with a burial in Westminster Abbey. His unfinished history Athens: Its Rise and Fall was published posthumously. Political career Bulwer began his political career as a follower of Jeremy Bentham. In 1831 he was elected member for St Ives, Cornwall, after which he was returned for Lincoln in 1832, and sat in Parliament for that city for nine years. He spoke in favour of the Reform Bill and took the lead in securing the reduction, after vainly essaying the repeal, of the newspaper stamp duties. His influence was perhaps most keenly felt when, on the Whigs' dismissal from office in 1834, he issued a pamphlet entitled A Letter to a Late Cabinet Minister on the Crisis. Lord Melbourne, then Prime Minister, offered him a lordship of the Admiralty, which he declined as likely to interfere with his activity as an author. Bulwer was created a baronet, of Knebworth House in the County of Hertford, in the Baronetage of the United Kingdom, in 1838. In 1841, he left Parliament and spent much of his time in travel. He did not return to politics until 1852, when having differed from Lord John Russell over the Corn Laws, he stood for Hertfordshire as a Conservative. Bulwer-Lytton held that seat until 1866, when he was raised to the peerage as Baron Lytton of Knebworth in the County of Hertford. In 1858 he entered Lord Derby's government as Secretary of State for the Colonies, thus serving alongside his old friend Disraeli. He was comparatively inactive in the House of Lords. "Just prior to his government's defeat in 1859 the Secretary of State for the Colonies, Sir Edward Bulwer Lytton, notified Sir George Ferguson Bowen of his appointment as Governor of the new colony to be known as 'Queen's Land'." The draft letter was ranked #4 in the 'Top 150: Documenting Queensland' exhibition when it toured to venues around Queensland from February 2009 to April 2010. The exhibition was part of Queensland State Archives' events and exhibition program which contributed to the state's Q150 celebrations, marking the 150th anniversary of the separation of Queensland from New South Wales. British Columbia When news of the Fraser Canyon Gold Rush reached London, Bulwer-Lytton, as Secretary of State for the Colonies, requested that the War Office recommend a field officer, "a man of good judgement possessing a knowledge of mankind", to lead a Corps of 150 (later increased to 172) Royal Engineers, who had been selected for their "superior discipline and intelligence". The War Office chose Richard Clement Moody, and Lord Lytton, who described Moody as his "distinguished friend", accepted the nomination in view of Moody's military record, his success as Governor of the Falkland Islands, and the distinguished record of his father, Colonel Thomas Moody, Knight at the Colonial Office. Moody was charged to establish British order and transform the newly established Colony of British Columbia (1858–66) into the British Empire's "bulwark in the farthest west" and "found a second England on the shores of the Pacific." Lytton desired to send to the colony "representatives of the best of British culture, not just a police force": he sought men who possessed "courtesy, high breeding and urbane knowledge of the world," and decided to send Moody, whom the Government considered to be the archetypal "English gentleman and British Officer" at the head of the Royal Engineers, Columbia Detachment, to whom he wrote an impassioned letter. The former HBC Fort Dallas at Camchin, the confluence of the Thompson and Fraser Rivers, was renamed in his honour by Governor Sir James Douglas in 1858 as Lytton, British Columbia. Literary works Bulwer-Lytton's literary career began in 1820 with the publication of a book of poems and spanned much of the 19th century. He wrote in a variety of genres, including historical fiction, mystery, romance, the occult and science fiction. He financed his extravagant way of life with a varied and prolific literary output, sometimes publishing anonymously. Bulwer-Lytton published Falkland in 1827, a novel which was only a moderate success. But Pelham brought him public acclaim in 1828 and established his reputation as a wit and dandy. Its intricate plot and humorous, intimate portrayal of pre-Victorian dandyism kept gossips busy trying to associate public figures with characters in the book. Pelham resembled Benjamin Disraeli's first novel Vivian Grey (1827). The character of the villainous Richard Crawford in The Disowned, also published in 1828, borrowed much from that of banker and forger Henry Fauntleroy, who was hanged in London in 1824 before a crowd of some 100,000. Bulwer-Lytton admired Disraeli's father Isaac D'Israeli, himself a noted author. They began corresponding in the late 1820s and met for the first time in March 1830, when Isaac D'Israeli dined at Bulwer-Lytton's house. Also present that evening were Charles Pelham Villiers and Alexander Cockburn. The young Villiers had a long parliamentary career, while Cockburn became Lord Chief Justice of England in 1859. Bulwer-Lytton reached his height of popularity with the publication of England and the English, and Godolphin (1833). This was followed by The Pilgrims of the Rhine (1834), The Last Days of Pompeii (1834), Rienzi, Last of the Roman Tribunes about Cola di Rienzo (1835), Ernest Maltravers; or, The Eleusinia (1837), Alice; or, The Mysteries (1838), Leila; or, The Siege of Granada (1838), and Harold, the Last of the Saxons (1848). The Last Days of Pompeii was inspired by Karl Briullov's painting The Last Day of Pompeii, which Bulwer-Lytton saw in Milan. His New Timon lampooned Tennyson, who responded in kind. Bulwer-Lytton also wrote the horror story The Haunted and the Haunters; or, The House and the Brain (1859). Another novel with a supernatural theme was A Strange Story (1862), which was an influence on Bram Stoker's Dracula. Bulwer-Lytton wrote many other works, including Vril: The Power of the Coming Race (1871) which drew heavily on his interest in the occult and contributed to the early growth of the science fiction genre. Its story of a subterranean race waiting to reclaim the surface of the Earth is an early science fiction theme. The book popularised the Hollow Earth theory and may have inspired Nazi mysticism. His term "vril" lent its name to Bovril meat extract. The book was also the theme of a fundraising event held at the Royal Albert Hall in 1891, the Vril-Ya Bazaar and Fete. "Vril" has been adopted by theosophists and occultists since the 1870s and became closely associated with the ideas of an esoteric neo-Nazism after 1945. His play Money (1840) was first produced at the Theatre Royal, Haymarket, London, on 8 December 1840. The first American production was at the Old Park Theater in New York on 1 February 1841. Subsequent productions include the Prince of Wales's Theatre's in 1872 and as the inaugural play at the new California Theatre (San Francisco) in 1869. Among Bulwer-Lytton's lesser-known contributions to literature was that he convinced Charles Dickens to revise the ending of Great Expectations to make it more palatable to the reading public, as in the original version of the novel, Pip and Estella do not get together. Legacy Quotations Bulwer-Lytton's most famous quotation is "The pen is mightier than the sword" from his play Richelieu: beneath the rule of men entirely great, the pen is mightier than the sword He popularized the phrase "pursuit of the almighty dollar" from his novel The Coming Race, and he is credited with "the great unwashed", using this disparaging term in his 1830 novel Paul Clifford: He is certainly a man who bathes and "lives cleanly", (two especial charges preferred against him by Messrs. the Great Unwashed). Theosophy The writers of theosophy were among those influenced by Bulwer-Lytton's work. Annie Besant and especially Helena Blavatsky incorporated his thoughts and ideas, particularly from The Last Days of Pompeii, Vril, the Power of the Coming Race and Zanoni in her own books. Contest Bulwer-Lytton's name lives on in the annual Bulwer-Lytton Fiction Contest, in which contestants think up terrible openings for imaginary novels, inspired by the first line of his 1830 novel Paul Clifford: It was a dark and stormy night; the rain fell in torrentsexcept at occasional intervals, when it was checked by a violent gust of wind which swept up the streets (for it is in London that our scene lies), rattling along the housetops, and fiercely agitating the scanty flame of the lamps that struggled against the darkness. Entrants in the contest seek to capture the rapid changes in point of view, the florid language, and the atmosphere of the full sentence. The opening was popularized by the Peanuts comic strip, in which Snoopy's sessions on the typewriter usually began with "It was a dark and stormy night". The same words also form the first sentence of Madeleine L'Engle's Newbery Medal-winning novel A Wrinkle in Time. Similar wording appears in Edgar Allan Poe's 1831 short story "The Bargain Lost", although not at the very beginning. It reads: It was a dark and stormy night. The rain fell in cataracts; and drowsy citizens started, from dreams of the deluge, to gaze upon the boisterous sea, which foamed and bellowed for admittance into the proud towers and marble palaces. Who would have thought of passions so fierce in that calm water that slumbers all day long? At a slight alabaster stand, trembling beneath the ponderous tomes which it supported, sat the hero of our story. Operas Several of Bulwer-Lytton's novels were made into operas. One of them, Rienzi, der Letzte der Tribunen (1842) by Richard Wagner, eventually became more famous than the novel. Leonora (1846) by William Henry Fry, the first European-styled "grand" opera composed in the United States, is based on Bulwer-Lytton's play The Lady of Lyons, as is Frederic Cowen's first opera Pauline (1876). Verdi rival Errico Petrella's most successful opera, Jone (1858), was based upon Bulwer-Lytton's The Last Days of Pompeii, and was performed all over the world until the First World War. Harold, the Last of the Saxons (1848) was the source for Verdi's opera Aroldo in 1857. Theatrical adaptations Shortly after their first publication, The Last Days of Pompeii, Rienzi, and Ernest Maltravers all received successful stage performances in New York. The plays were written by Louisa Medina, one of the most successful playwrights of the 19th century. The Last Days of Pompeii had the longest continuous stage run in New York at the time with 29 straight performances. Magazines In addition to his political and literary work, Bulwer-Lytton became the editor of the New Monthly in 1831, but he resigned the following year. In 1841, he started the Monthly Chronicle, a semi-scientific magazine. During his career he wrote poetry, prose, and stage plays; his last novel was Kenelm Chillingly, which was in course of publication in Blackwood's Magazine at the time of his death in 1873. Translations Bulwer-Lytton's works of fiction and non-fiction were translated in his day and since then into many languages, including Serbian (by Laza Kostic), German, Russian, Norwegian, Swedish, French, Finnish, and Spanish. In 1879, his Ernest Maltravers was the first complete novel from the West to be translated into Japanese. Place names In Brisbane, Queensland, Australia, the suburb of Lytton, the town of Bulwer on Moreton Island (Moorgumpin) and the neighbourhood (former island) of Bulwer Island are named after him. The township of Lytton, Quebec (today part of Montcerf-Lytton) was named after him as was Lytton, British Columbia, and Lytton, Iowa. Lytton Road in Gisborne, New Zealand was named after the novelist. Later a state secondary school, Lytton High School, was founded in the road. In London, Lytton Road in the suburb of Pinner, where the novelist lived, is named after him. Portrayal on television Bulwer-Lytton was portrayed by the actor Brett Usher in the 1978 television serial Disraeli. Works by Bulwer-Lytton Novels Falkland (1827) Pelham: or The Adventures of a Gentleman (1828) Available online The Disowned (1829) Devereux (1829) Paul Clifford (1830) Available online Eugene Aram (1832) Available online Godolphin (1833) Asmodeus at Large (1833) The Last Days of Pompeii (1834) Available online The Pilgrims of the Rhine (1834) Rienzi, the last of the Roman tribunes (1835) Available online The Student (1835) Ernest Maltravers; or The Eleusinia (1837) Available online Alice, or The Mysteries (1838) A sequel to Ernest Maltravers Available online Calderon, the Courtier (1838) Leila; or, The Siege of Granada (1838) Available online Zicci: a Tale (1838) Available online Night and Morning (1841) Available online Zanoni (1842) Available online The Last of the Barons (1843) Available online Lucretia (1846) Available online Harold, the Last of the Saxons (1848) Available online The Caxtons: A Family Picture (1849) Available online My Novel, or Varieties in English Life (1853) The Haunted and the Haunters; or, The House and the Brain (novelette, 1859) Available online What Will He Do With It? (1858) A Strange Story (1861–1862) Available online The Coming Race (1871), republished as Vril: The Power of the Coming Race Available online Kenelm Chillingly (1873) The Parisians (1873) Pausanias, the Spartan – Unfinished (1873) Verse Ismael (1820) The Poems and Ballads of Schiller, translator (1844), published by Bernard Tauchnitz, Leipzig The New Timon (1846), an attack on Tennyson published anonymously King Arthur (1848–1849) Plays The Duchess de la Vallière (1837) The Lady of Lyons (1838) Richelieu (1839), adapted for the 1935 film Cardinal Richelieu Money (1840) Not So Bad as We Seem, or, Many Sides to a Character: A Comedy in Five Acts (1851) The Rightful Heir (1868), based on The Sea Captain, an earlier play of Lytton's Walpole, or Every Man Has His Price Darnley (unfinished) See also Bulwer-Lytton and Theosophy Lytton, Queensland References Further reading (Distributed in the United States and Canada by Palgrave Macmillan) Whittington-Egan, Molly (2013). Arthur O'Shaughnessy: Music Maker Bluecoat Press External links Bulwer-Lytton ebooks Other links Edward George Earl Bulwer-Lytton (1803–73) John S. Moore's essay on Bulwer-Lytton Edward Bulwer-Lytton biography and works Complete Works of Edward Bulwer-Lytton (Delphi Classics) 1803 births 1873 deaths 19th-century British dramatists and playwrights 19th-century English dramatists and playwrights 19th-century English novelists 19th-century English nobility Alumni of Trinity College, Cambridge Alumni of Trinity Hall, Cambridge Barons Lytton British male novelists British Secretaries of State Burials at Westminster Abbey Conservative Party (UK) hereditary peers Conservative Party (UK) MPs for English constituencies English dramatists and playwrights English historical novelists English male dramatists and playwrights English male novelists English male poets English occult writers Literary peers Freemasons of the United Grand Lodge of England Hollow Earth proponents Edward Members of the Parliament of the United Kingdom for Hertfordshire Members of the Parliament of the United Kingdom for St Ives Members of the Privy Council of the United Kingdom People from Heydon, Norfolk People from Knebworth Politics of Lincoln, England Rectors of the University of Glasgow Secretaries of State for the Colonies UFO writers UK MPs 1831–1832 UK MPs 1832–1835 UK MPs 1835–1837 UK MPs 1837–1841 UK MPs 1852–1857 UK MPs 1857–1859 UK MPs 1859–1865 UK MPs 1865–1868 UK MPs who were granted peerages Victorian novelists Whig (British political party) MPs for English constituencies Pre-Separation Queensland Peers of the United Kingdom created by Queen Victoria
10501
https://en.wikipedia.org/wiki/Espionage
Espionage
Espionage, spying or intelligence gathering is the act of obtaining secret or confidential information (intelligence) from non-disclosed sources or divulging of the same without the permission of the holder of the information for a tangible benefit. A person who commits espionage is called an espionage agent or spy. Any individual or spy ring (a cooperating group of spies), in the service of a government, company, criminal organization, or independent operation, can commit espionage. The practice is clandestine, as it is by definition unwelcome. In some circumstances, it may be a legal tool of law enforcement and in others, it may be illegal and punishable by law. Espionage is often part of an institutional effort by a government or commercial concern. However, the term tends to be associated with state spying on potential or actual enemies for military purposes. Spying involving corporations is known as industrial espionage. One of the most effective ways to gather data and information about a targeted organization is by infiltrating its ranks. This is the job of the spy (espionage agent). Spies can then return information such as the size and strength of enemy forces. They can also find dissidents within the organization and influence them to provide further information or to defect. In times of crisis, spies steal technology and sabotage the enemy in various ways. Counterintelligence is the practice of thwarting enemy espionage and intelligence-gathering. Almost all nations have strict laws concerning espionage and the penalty for being caught is often severe. However, the benefits gained through espionage are often so great that most governments and many large corporations make use of it. History Espionage has been recognized as an importance in military affairs since ancient times. The oldest known classified document was a report made by a spy disguised as a diplomatic envoy in the court of King Hammurabi, who died in around 1750 BC. The Ancient Egyptians had a developed secret service and espionage is mentioned in the Iliad, the Bible, and the Amarna letters as well as its recordings in the story of the Old Testament, The Twelve Spies. Espionage was also prevalent in the Greco-Roman world, when spies employed illiterate subjects in civil services. The thesis that espionage and intelligence has a central role in war as well as peace was first advanced in The Art of War and in the Arthashastra. In the Middle Ages European states excelled at what has later been termed counter-subversion when Catholic inquisitions were staged to annihilate heresy. Inquisitions were marked by centrally organised mass interrogations and detailed record keeping. During the Renaissance European states funded codebreakers to obtain intelligence through frequency analysis. Western espionage changed fundamentally during the Renaissance when Italian city-states installed resident ambassadors in capital cities to collect intelligence. Renaissance Venice became so obsessed with espionage that the Council of Ten, which was nominally responsible for security, did not even allow the doge to consult government archives freely. In 1481 the Council of Ten barred all Venetian government officials from making contact with ambassadors or foreigners. Those revealing official secrets could face the death penalty. Venice became obsessed with espionage because successful international trade demanded that the city-state could protect its trade secrets. Under Elizabeth I, Francis Walsingham was appointed foreign secretary and intelligence chief. During the American Revolution, Nathan Hale and Benedict Arnold achieved their fame as spies, and there was considerable use of spies on both sides during the American Civil War. Though not a spy himself, George Washington was America's first spymaster, utilizing espionage tactics against the British. In the 20th century, at the height of World War I, all great powers except the United States had elaborate civilian espionage systems and all national military establishments had intelligence units. In order to protect the country against foreign agents, the U.S. Congress passed the Espionage Act of 1917. Mata Hari, who obtained information for Germany by seducing French officials, was the most noted espionage agent of World War I. Prior to World War II, Germany and Imperial Japan established elaborate espionage nets. In 1942 the Office of Strategic Services was founded by Gen. William J. Donovan. However, the British system was the keystone of Allied intelligence. Numerous resistance groups such as the Austrian Maier-Messner Group, the French Resistance, the Witte Brigade, Milorg and the Polish Home Army worked against Nazi Germany and provided the Allied secret services with information that was very important for the war effort. Since the end of World War II, the activity of espionage has enlarged, much of it growing out of the Cold War between the United States and the former USSR. The Russian Empire and its successor, the Soviet Union have had a long tradition of espionage ranging from the Okhrana to the KGB (Committee for State Security), which also acted as a secret police force. In the United States, the 1947 National Security Act created the Central Intelligence Agency (CIA) to coordinate intelligence and the National Security Agency for research into codes and electronic communication. In addition to these, the United States has 13 other intelligence gathering agencies; most of the U.S. expenditures for intelligence gathering are budgeted to various Defense Dept. agencies and their programs. Under the intelligence reorganization of 2004, the director of national intelligence is responsible for overseeing and coordinating the activities and budgets of the U.S. intelligence agencies. In the Cold War, espionage cases included Alger Hiss and Whittaker Chambers and the Rosenberg Case. In 1952 the Communist Chinese captured two CIA agents, and in 1960 Francis Gary Powers, flying a U-2 reconnaissance mission over the Soviet Union for the CIA, was shot down and captured. During the Cold War, many Soviet intelligence officials defected to the West, including Gen. Walter Krivitsky, Victor Kravchenko, Vladimir Petrov, Peter Deriabin Pawel Monat, and Oleg Penkovsky, of the GRU (Soviet military intelligence). Among Western officials who defected to the Soviet Union are Guy Burgess and Donald D. Maclean of Great Britain in 1951, Otto John of West Germany in 1954, William H. Martin and Bernon F. Mitchell, U.S. cryptographers, in 1960, and Harold (Kim) Philby of Great Britain in 1962. U.S. acknowledgment of its U-2 flights and the exchange of Francis Gary Powers for Rudolf Abel in 1962 implied the legitimacy of some espionage as an arm of foreign policy. China has a very cost-effective intelligence program that is especially effective in monitoring neighboring countries such as Mongolia, Russia, and India. Smaller countries can also mount effective and focused espionage efforts. For instance, the Vietnamese Communists had consistently superior intelligence during the Vietnam War. Some Islamic countries, including Libya, Iran, and Syria, have highly developed operations as well. SAVAK, the secret police of the Pahlavi dynasty, was particularly feared by Iranian dissidents before the 1979 Iranian Revolution. Today Today, spy agencies target the illegal drug trade and terrorists as well as state actors. Between 2008 and 2011, the United States charged at least 57 defendants for attempting to spy for China. Intelligence services value certain intelligence collection techniques over others. The former Soviet Union, for example, preferred human sources over research in open sources, while the United States has tended to emphasize technological methods such as SIGINT and IMINT. In the Soviet Union, both political (KGB) and military intelligence (GRU) officers were judged by the number of agents they recruited. The espionage efforts and knowledge of a nation are often used by other countries by hiring their intelligence employees. The United Arab Emirates is one of the major countries relying on the technique, where they have hired the former employees of the US' National Security Agency and the White House veterans. Some of the agents were hired to hack the Emirates' former rival nation Qatar, its royals and even FIFA officials. Others were asked to conduct surveillance on other governments, human rights activists, social media critics, and even militants. However, the spying efforts of the UAE by using the Americans were also used to target the US itself, including former first lady Michelle Obama. In September 2021, three former intelligence officials from America admitted to working for the United Arab Emirates' DarkMatter for hacking computers, servers, and electronic devices, including the computers and servers in the United States. According to court documents, the three operatives—Daniel Gericke, Ryan Adams, and Marc Baier—helped Emirati intelligence operatives with advanced cyber technology to assist them in breaches directed at potential enemies or political rivals. The DarkMatter also hired several other ex-N.S.A. and C.I.A. officers at salaries worth hundreds of thousands of dollars a year. Targets of espionage Espionage agents are usually trained experts in a targeted field so they can differentiate mundane information from targets of value to their own organizational development. Correct identification of the target at its execution is the sole purpose of the espionage operation. Broad areas of espionage targeting expertise include: Natural resources: strategic production identification and assessment (food, energy, materials). Agents are usually found among bureaucrats who administer these resources in their own countries Popular sentiment towards domestic and foreign policies (popular, middle class, elites). Agents often recruited from field journalistic crews, exchange postgraduate students and sociology researchers Strategic economic strengths (production, research, manufacture, infrastructure). Agents recruited from science and technology academia, commercial enterprises, and more rarely from among military technologists Military capability intelligence (offensive, defensive, manoeuvre, naval, air, space). Agents are trained by military espionage education facilities and posted to an area of operation with covert identities to minimize prosecution Counterintelligence operations targeting opponents' intelligence services themselves, such as breaching the confidentiality of communications, and recruiting defectors or moles Methods and terminology Although the news media may speak of "spy satellites" and the like, espionage is not a synonym for all intelligence-gathering disciplines. It is a specific form of human source intelligence (HUMINT). Codebreaking (cryptanalysis or COMINT), aircraft or satellite photography, (IMINT) and analysis of publicly available data sources (OSINT) are all intelligence gathering disciplines, but none of them is considered espionage. Many HUMINT activities, such as prisoner interrogation, reports from military reconnaissance patrols and from diplomats, etc., are not considered espionage. Espionage is the disclosure of sensitive information (classified) to people who are not cleared for that information or access to that sensitive information. Unlike other forms of intelligence collection disciplines, espionage usually involves accessing the place where the desired information is stored or accessing the people who know the information and will divulge it through some kind of subterfuge. There are exceptions to physical meetings, such as the Oslo Report, or the insistence of Robert Hanssen in never meeting the people who bought his information. The US defines espionage towards itself as "the act of obtaining, delivering, transmitting, communicating, or receiving information about the national defence with an intent, or reason to believe, that the information may be used to the injury of the United States or to the advantage of any foreign nation". Black's Law Dictionary (1990) defines espionage as: "... gathering, transmitting, or losing ... information related to the national defense". Espionage is a violation of United States law, and Article 106a of the Uniform Code of Military Justice. The United States, like most nations, conducts espionage against other nations, under the control of the National Clandestine Service. Britain's espionage activities are controlled by the Secret Intelligence Service. Technology and techniques Agent handling Concealment device Covert agent Covert listening device Cut-out Cyber spying Dead drop False flag operations Honeypot Impersonation Impostor Interrogation Non-official cover Numbers messaging Official cover One-way voice link Sabotage Safe house Side channel attack Steganography Surveillance Surveillance aircraft Source: Organization A spy is a person employed to seek out top secret information from a source. Within the United States Intelligence Community, "asset" is more common usage. A case officer or Special Agent, who may have diplomatic status (i.e., official cover or non-official cover), supports and directs the human collector. Cut-outs are couriers who do not know the agent or case officer but transfer messages. A safe house is a refuge for spies. Spies often seek to obtain secret information from another source. In larger networks, the organization can be complex with many methods to avoid detection, including clandestine cell systems. Often the players have never met. Case officers are stationed in foreign countries to recruit and supervise intelligence agents, who in turn spy on targets in the countries where they are assigned. A spy need not be a citizen of the target country and hence does not automatically commit treason when operating within it. While the more common practice is to recruit a person already trusted with access to sensitive information, sometimes a person with a well-prepared synthetic identity (cover background), called a legend in tradecraft, may attempt to infiltrate a target organization. These agents can be moles (who are recruited before they get access to secrets), defectors (who are recruited after they get access to secrets and leave their country) or defectors in place (who get access but do not leave). A legend is also employed for an individual who is not an illegal agent, but is an ordinary citizen who is "relocated", for example, a "protected witness". Nevertheless, such a non-agent very likely will also have a case officer who will act as a controller. As in most, if not all synthetic identity schemes, for whatever purpose (illegal or legal), the assistance of a controller is required. Spies may also be used to spread disinformation in the organization in which they are planted, such as giving false reports about their country's military movements, or about a competing company's ability to bring a product to market. Spies may be given other roles that also require infiltration, such as sabotage. Many governments spy on their allies as well as their enemies, although they typically maintain a policy of not commenting on this. Governments also employ private companies to collect information on their behalf such as SCG International Risk, International Intelligence Limited and others. Many organizations, both national and non-national, conduct espionage operations. It should not be assumed that espionage is always directed at the most secret operations of a target country. National and terrorist organizations and other groups are also targeted. This is because governments want to retrieve information that they can use to be proactive in protecting their nation from potential terrorist attacks. Communications both are necessary to espionage and clandestine operations, and also a great vulnerability when the adversary has sophisticated SIGINT detection and interception capability. Spies rely on COVCOM or covert communication through technically advanced spy devices. Agents must also transfer money securely. Industrial espionage Reportedly Canada is losing $12 billion and German companies are estimated to be losing about €50 billion ($87 billion) and 30,000 jobs to industrial espionage every year. Agents in espionage In espionage jargon, an "agent" is the person who does the spying. They may be a citizen of a country recruited by that country to spy on another; a citizen of a country recruited by that country to carry out false flag assignments disrupting his own country; a citizen of one country who is recruited by a second country to spy on or work against his own country or a third country, and more. In popular usage, this term is sometimes confused with an intelligence officer, intelligence operative or case officer who recruits and handles agents. Among the most common forms of agent are: Agent provocateur: instigates trouble or provides information to gather as many people as possible into one location for an arrest. Intelligence agent: provides access to sensitive information through the use of special privileges. If used in corporate intelligence gathering, this may include gathering information of a corporate business venture or stock portfolio. In economic intelligence, "Economic Analysts may use their specialized skills to analyze and interpret economic trends and developments, assess and track foreign financial activities, and develop new econometric and modelling methodologies." This may also include information of trade or tariff. Agent-of-influence: provides political influence in an area of interest, possibly including publications needed to further an intelligence service agenda. The use of the media to print a story to mislead a foreign service into action, exposing their operations while under surveillance. Double agent: engages in clandestine activity for two intelligence or security services (or more in joint operations), who provides information about one or about each to the other, and who wittingly withholds significant information from one on the instructions of the other or is unwittingly manipulated by one so that significant facts are withheld from the adversary. Peddlers, fabricators and others who work for themselves rather than a service are not double agents because they are not agents. The fact that double agents have an agent relationship with both sides distinguishes them from penetrations, who normally are placed with the target service in a staff or officer capacity." Redoubled agent: forced to mislead the foreign intelligence service after being caught as a double agent. Unwitting double agent: offers or is forced to recruit as a double or redoubled agent and in the process is recruited by either a third-party intelligence service or his own government without the knowledge of the intended target intelligence service or the agent. This can be useful in capturing important information from an agent that is attempting to seek allegiance with another country. The double agent usually has knowledge of both intelligence services and can identify operational techniques of both, thus making third-party recruitment difficult or impossible. The knowledge of operational techniques can also affect the relationship between the operations officer (or case officer) and the agent if the case is transferred by an operational targeting officer to a new operations officer, leaving the new officer vulnerable to attack. This type of transfer may occur when an officer has completed his term of service or when his cover is blown. Sleeper agent: recruited to wake up and perform a specific set of tasks or functions while living undercover in an area of interest. This type of agent is not the same as a deep cover operative, who continually contacts a case officer to file intelligence reports. A sleeper agent is not in contact with anyone until activated. Triple agent: works for three intelligence services. Less common or lesser known forms of agent include: Access agent: provides access to other potential agents by providing offender profiling information that can help lead to recruitment into an intelligence service. Confusion agent: provides misleading information to an enemy intelligence service or attempts to discredit the operations of the target in an operation. Facilities agent: provides access to buildings, such as garages or offices used for staging operations, resupply, etc. Illegal agent: lives in another country under false credentials and does not report to a local station. A nonofficial cover operative can be dubbed an "illegal" when working in another country without diplomatic protection. Principal agent: functions as a handler for an established network of agents, usually considered "blue chip". Law Espionage against a nation is a crime under the legal code of many nations. In the United States, it is covered by the Espionage Act of 1917. The risks of espionage vary. A spy violating the host country's laws may be deported, imprisoned, or even executed. A spy violating its own country's laws can be imprisoned for espionage or/and treason (which in the United States and some other jurisdictions can only occur if they take up arms or aids the enemy against their own country during wartime), or even executed, as the Rosenbergs were. For example, when Aldrich Ames handed a stack of dossiers of U.S. Central Intelligence Agency (CIA) agents in the Eastern Bloc to his KGB-officer "handler", the KGB "rolled up" several networks, and at least ten people were secretly shot. When Ames was arrested by the U.S. Federal Bureau of Investigation (FBI), he faced life in prison; his contact, who had diplomatic immunity, was declared persona non grata and taken to the airport. Ames' wife was threatened with life imprisonment if her husband did not cooperate; he did, and she was given a five-year sentence. Hugh Francis Redmond, a CIA officer in China, spent nineteen years in a Chinese prison for espionage—and died there—as he was operating without diplomatic cover and immunity. In United States law, treason, espionage, and spying are separate crimes. Treason and espionage have graduated punishment levels. The United States in World War I passed the Espionage Act of 1917. Over the years, many spies, such as the Soble spy ring, Robert Lee Johnson, the Rosenberg ring, Aldrich Hazen Ames, Robert Philip Hanssen, Jonathan Pollard, John Anthony Walker, James Hall III, and others have been prosecuted under this law. History of espionage laws From ancient times, the penalty for espionage in many countries was execution. This was true right up until the era of World War II; for example, Josef Jakobs was a Nazi spy who parachuted into Great Britain in 1941 and was executed for espionage. In modern times, many people convicted of espionage have been given penal sentences rather than execution. For example, Aldrich Hazen Ames is an American CIA analyst, turned KGB mole, who was convicted of espionage in 1994; he is serving a life sentence without the possibility of parole in the high-security Allenwood U.S. Penitentiary. Ames was formerly a 31-year CIA counterintelligence officer and analyst who committed espionage against his country by spying for the Soviet Union and Russia. So far as it is known, Ames compromised the second-largest number of CIA agents, second only to Robert Hanssen, who is also serving a prison sentence. Use against non-spies Espionage laws are also used to prosecute non-spies. In the United States, the Espionage Act of 1917 was used against socialist politician Eugene V. Debs (at that time the Act had much stricter guidelines and amongst other things banned speech against military recruiting). The law was later used to suppress publication of periodicals, for example of Father Coughlin in World War II. In the early 21st century, the act was used to prosecute whistleblowers such as Thomas Andrews Drake, John Kiriakou, and Edward Snowden, as well as officials who communicated with journalists for innocuous reasons, such as Stephen Jin-Woo Kim. , India and Pakistan were holding several hundred prisoners of each other's country for minor violations like trespass or visa overstay, often with accusations of espionage attached. Some of these include cases where Pakistan and India both deny citizenship to these people, leaving them stateless. The BBC reported in 2012 on one such case, that of Mohammed Idrees, who was held under Indian police control for approximately 13 years for overstaying his 15-day visa by 2–3 days after seeing his ill parents in 1999. Much of the 13 years were spent in prison waiting for a hearing, and more time was spent homeless or living with generous families. The Indian People's Union for Civil Liberties and Human Rights Law Network both decried his treatment. The BBC attributed some of the problems to tensions caused by the Kashmir conflict. Espionage laws in the UK Espionage is illegal in the UK under the Official Secrets Acts of 1911 and 1920. The UK law under this legislation considers espionage as "concerning those who intend to help an enemy and deliberately harm the security of the nation". According to MI5, a person commits the offence of 'spying' if they, "for any purpose prejudicial to the safety or interests of the State": approaches, enters or inspects a prohibited area; makes documents such as plans that are intended, calculated, or could directly or indirectly be of use to an enemy; or "obtains, collects, records, or publishes, or communicates to any other person any secret official code word, or password, or any sketch, plan, model, article, or note, or other document which is calculated to be or might be or is intended to be directly or indirectly useful to an enemy". The illegality of espionage also includes any action which may be considered 'preparatory to' spying, or encouraging or aiding another to spy. Under the penal codes of the UK, those found guilty of espionage are liable to imprisonment for a term of up to 14 years, although multiple sentences can be issued. Government intelligence laws and its distinction from espionage Government intelligence is very much distinct from espionage, and is not illegal in the UK, providing that the organisations of individuals are registered, often with the ICO, and are acting within the restrictions of the Regulation of Investigatory Powers Act (RIPA). 'Intelligence' is considered legally as "information of all sorts gathered by a government or organisation to guide its decisions. It includes information that may be both public and private, obtained from much different public or secret sources. It could consist entirely of information from either publicly available or secret sources, or be a combination of the two." However, espionage and intelligence can be linked. According to the MI5 website, "foreign intelligence officers acting in the UK under diplomatic cover may enjoy immunity from prosecution. Such persons can only be tried for spying (or, indeed, any criminal offence) if diplomatic immunity is waived beforehand. Those officers operating without diplomatic cover have no such immunity from prosecution". There are also laws surrounding government and organisational intelligence and surveillance. Generally, the body involved should be issued with some form of warrant or permission from the government and should be enacting their procedures in the interest of protecting national security or the safety of public citizens. Those carrying out intelligence missions should act within not only RIPA but also the Data Protection Act and Human Rights Act. However, there are spy equipment laws and legal requirements around intelligence methods that vary for each form of intelligence enacted. War In war, espionage is considered permissible as many nations recognize the inevitability of opposing sides seeking intelligence each about the dispositions of the other. To make the mission easier and successful, combatants wear disguises to conceal their true identity from the enemy while penetrating enemy lines for intelligence gathering. However, if they are caught behind enemy lines in disguises, they are not entitled to prisoner-of-war status and subject to prosecution and punishment—including execution. The Hague Convention of 1907 addresses the status of wartime spies, specifically within "Laws and Customs of War on Land" (Hague IV); October 18, 1907: CHAPTER II Spies". Article 29 states that a person is considered a spy who, acts clandestinely or on false pretences, infiltrates enemy lines with the intention of acquiring intelligence about the enemy and communicate it to the belligerent during times of war. Soldiers who penetrate enemy lines in proper uniforms for the purpose of acquiring intelligence are not considered spies but are lawful combatants entitled to be treated as prisoners of war upon capture by the enemy. Article 30 states that a spy captured behind enemy lines may only be punished following a trial. However, Article 31 provides that if a spy successfully rejoined his own military and is then captured by the enemy as a lawful combatant, he cannot be punished for his previous acts of espionage and must be treated as a prisoner of war. Note that this provision does not apply to citizens who committed treason against their own country or co-belligerents of that country and may be captured and prosecuted at any place or any time regardless whether he rejoined the military to which he belongs or not or during or after the war. The ones that are excluded from being treated as spies while behind enemy lines are escaping prisoners of war and downed airmen as international law distinguishes between a disguised spy and a disguised escaper. It is permissible for these groups to wear enemy uniforms or civilian clothes in order to facilitate their escape back to friendly lines so long as they do not attack enemy forces, collect military intelligence, or engage in similar military operations while so disguised. Soldiers who are wearing enemy uniforms or civilian clothes simply for the sake of warmth along with other purposes rather than engaging in espionage or similar military operations while so attired are also excluded from being treated as unlawful combatants. Saboteurs are treated as spies as they too wear disguises behind enemy lines for the purpose of waging destruction on an enemy's vital targets in addition to intelligence gathering. For example, during World War II, eight German agents entered the U.S. in June 1942 as part of Operation Pastorius, a sabotage mission against U.S. economic targets. Two weeks later, all were arrested in civilian clothes by the FBI thanks to two German agents betraying the mission to the U.S. Under the Hague Convention of 1907, these Germans were classified as spies and tried by a military tribunal in Washington D.C. On August 3, 1942, all eight were found guilty and sentenced to death. Five days later, six were executed by electric chair at the District of Columbia jail. Two who had given evidence against the others had their sentences reduced by President Franklin D. Roosevelt to prison terms. In 1948, they were released by President Harry S. Truman and deported to the American Zone of occupied Germany. The U.S. codification of enemy spies is Article 106 of the Uniform Code of Military Justice. This provides a mandatory death sentence if a person captured in the act is proven to be "lurking as a spy or acting as a spy in or about any place, vessel, or aircraft, within the control or jurisdiction of any of the armed forces, or in or about any shipyard, any manufacturing or industrial plant, or any other place or institution engaged in work in aid of the prosecution of the war by the United States, or elsewhere". Spy fiction Spies have long been favorite topics for novelists and filmmakers. An early example of espionage literature is Kim by the English novelist Rudyard Kipling, with a description of the training of an intelligence agent in the Great Game between the UK and Russia in 19th century Central Asia. An even earlier work was James Fenimore Cooper's classic novel, The Spy, written in 1821, about an American spy in New York during the Revolutionary War. During the many 20th-century spy scandals, much information became publicly known about national spy agencies and dozens of real-life secret agents. These sensational stories piqued public interest in a profession largely off-limits to human interest news reporting, a natural consequence of the secrecy inherent in their work. To fill in the blanks, the popular conception of the secret agent has been formed largely by 20th and 21st-century fiction and film. Attractive and sociable real-life agents such as Valerie Plame find little employment in serious fiction, however. The fictional secret agent is more often a loner, sometimes amoral—an existential hero operating outside the everyday constraints of society. Loner spy personalities may have been a stereotype of convenience for authors who already knew how to write loner private investigator characters that sold well from the 1920s to the present. Johnny Fedora achieved popularity as a fictional agent of early Cold War espionage, but James Bond is the most commercially successful of the many spy characters created by intelligence insiders during that struggle. His less fantastic rivals include Le Carré's George Smiley, and Harry Palmer as played by Michael Caine. Jumping on the spy bandwagon, other writers also started writing about spy fiction featuring female spies as protagonists, such as The Baroness, which has more graphic action and sex, as compared to other novels featuring male protagonists. Spy fiction has permeated the video game world as well, in games such as Perfect Dark, GoldenEye 007, No One Lives Forever, and the Metal Gear series. Espionage has also made its way into comedy depictions. The 1960s TV series Get Smart, the 1983 Finnish film Agent 000 and the Deadly Curves, and Johnny English film trilogy portrays an inept spy, while the 1985 movie Spies Like Us depicts a pair of none-too-bright men sent to the Soviet Union to investigate a missile. The historical novel The Emperor and the Spy highlights the adventurous life of U.S. Colonel Sidney Forrester Mashbir, who during the 1920s and 1930s attempted to prevent war with Japan, and when war did erupt, he became General MacArthur's top advisor in the Pacific Theater of World War Two. Black Widow is also a fictional agent who was introduced as a Russian spy, an antagonist of the superhero Iron Man. She later became an agent of the fictional spy agency S.H.I.E.L.D. and a member of the superhero team the Avengers. See also American espionage in China Animals used in espionage Chinese intelligence operations in the United States Clandestine operation Classified information Dumpster diving Intelligence assessment History of Soviet espionage Human intelligence (intelligence gathering) Labor spies List of cryptographers List of intelligence agencies List of intelligence gathering disciplines Military intelligence Ninja Operation Snow White Security clearance Spymaster Spy Museum (disambiguation) Jalal Haji Zawar References Citations Works cited Further reading Aldrich, Richard J., and Christopher Andrew, eds. Secret Intelligence: A Reader (2nd ed. 2018); focus on the 21st century; reprints 30 essays by scholars. excerpt Andrew, Christopher, The Secret World: A History of Intelligence, 2018. Burnham, Frederick Russell, Taking Chances, 1944. Felix, Christopher [pseudonym for James McCarger] A Short Course in the Secret War, 4th Edition. Madison Books, November 19, 2001. Friedman, George. America's Secret War: Inside the Hidden Worldwide Struggle Between the United States and Its Enemies 2005 Gopnik, Adam, "Spy vs. Spy vs. Spy: How valuable is espionage?", The New Yorker, 2 September 2019, pp. 53–59. "There seems to be a paranoid paradox of espionage: the better your intelligence, the dumber your conduct; the more you know, the less you anticipate.... Hard-won information is ignored or wildly misinterpreted.... [It] happens again and again [that] a seeming national advance in intelligence is squandered through cross-bred confusion, political rivalry, mutual bureaucratic suspicions, intergovernmental competition, and fear of the press (as well as leaks to the press), all seasoned with dashes of sexual jealousy and adulterous intrigue." (p. 54.) Jeffreys-Jones, Rhodri. In Spies, We Trust: The Story of Western Intelligence (2013), covers U.S. and Britain Jenkins, Peter. Surveillance Tradecraft: The Professional's Guide to Surveillance Training Kahn, David, The Codebreakers: The Comprehensive History of Secret Communication from Ancient Times to the Internet, 1996 revised edition. First published 1967. Keegan, John, Intelligence in War: Knowledge of the Enemy from Napoleon to Al-Qaeda, 2003. Knightley, Phillip, The Second Oldest Profession: Spies and Spying in the Twentieth Century, Norton, 1986. Lerner, Brenda Wilmoth & K. Lee Lerner, eds. Terrorism: essential primary sources Thomas Gale 2006 Lerner, K. Lee and Brenda Wilmoth Lerner, eds. Encyclopedia of Espionage, Intelligence and Security (2003), worldwide recent coverage 1100 pages. May, Ernest R. (ed.). Knowing One's Enemies: Intelligence Assessment Before the Two World Wars (1984). O'Toole, George. Honorable Treachery: A History of U.S. Intelligence, Espionage, Covert Action from the American Revolution to the CIA 1991 Murray, Williamson, and Allan Reed Millett, eds. Calculations: net assessment and the coming of World War II (1992). Owen, David. Hidden Secrets: A Complete History of Espionage and the Technology Used to Support It Richelson, Jeffery T. A Century of Spies: Intelligence in the Twentieth Century (1977) Richelson, Jeffery T. The U.S. Intelligence Community (1999, fourth edition) Smith, W. Thomas Jr. Encyclopedia of the Central Intelligence Agency (2003) Tuchman, Barbara W., The Zimmermann Telegram, New York, Macmillan, 1962. Warner, Michael. The Rise and Fall of Intelligence: An International Security History (2014) External links History of an espionage in Russia Law enforcement occupations Organized crime activity Positions of authority Security
10553
https://en.wikipedia.org/wiki/Flute
Flute
The flute is a family of musical instruments in the woodwind group. Unlike woodwind instruments with reeds, a flute is an aerophone or reedless wind instrument that produces its sound from the flow of air across an opening. According to the instrument classification of Hornbostel–Sachs, flutes are categorized as edge-blown aerophones. A musician who plays the flute is called a flautist or flutist. Flutes are the earliest known identifiable musical instruments, as paleolithic examples with hand-bored holes have been found. A number of flutes dating to about 43,000 to 35,000 years ago have been found in the Swabian Jura region of present-day Germany. These flutes demonstrate that a developed musical tradition existed from the earliest period of modern human presence in Europe. While the oldest flutes currently known were found in Europe, Asia, too, has a long history with the instrument that has continued into the present day. In China, a playable bone flute was discovered, dated approximately 9000 years old. The Americas also had an ancient flute culture, with instruments found in Caral, Peru, dating back 5000 years and in Labrador dating back approximately 7500 years. Historians have found the bamboo flute has a long history as well, especially in China and India. Flutes have been discovered in historical records and artworks starting in the Zhou dynasty. The oldest written sources reveal the Chinese were using the kuan (a reed instrument) and hsio (or xiao, an end-blown flute, often of bamboo) in the 12th–11th centuries BC, followed by the chi (or ch'ih) in the 9th century BC and the yüeh in the 8th century BC. Of these, the chi is the oldest documented cross flute or transverse flute, and was made from bamboo. The cross flute (Sanskrit: vāṃśī) was "the outstanding wind instrument of ancient India", according to Curt Sachs. He said that religious artwork depicting "celestial music" instruments was linked to music with an "aristocratic character". The Indian bamboo cross flute, Bansuri, was sacred to Krishna, and he is depicted in Hindu art with the instrument. In India, the cross flute appeared in reliefs from the 1st century AD at Sanchi and Amaravati from the 2nd–4th centuries AD. Although there had been flutes in Europe in prehistoric times, in more recent millennia the flute was absent from the continent until its arrival from Asia, by way of "North Africa, Hungary, and Bohemia", according to historian Alexander Buchner. The end-blown flute began to be seen in illustration in the 11th century. Transverse flutes entered Europe through Byzantium and were depicted in Greek art about 800 AD. The transverse flute had spread into Europe by way of Germany, and was known as the German flute. Etymology and terminology The word flute first entered the English language during the Middle English period, as floute, or else flowte, flo(y)te, possibly from Old French flaute and from Old Provençal flaüt, or else from Old French fleüte, flaüte, flahute via Middle High German floite or Dutch fluit. The English verb flout has the same linguistic root, and the modern Dutch verb fluiten still shares the two meanings. Attempts to trace the word back to the Latin flare (to blow, inflate) have been pronounced "phonologically impossible" or "inadmissable". The first known use of the word flute was in the 14th century. According to the Oxford English Dictionary, this was in Geoffrey Chaucer's The Hous of Fame, c.1380. Today, a musician who plays any instrument in the flute family can be called a flutist or flautist or simply a flute player. Flutist dates back to at least 1603, the earliest quotation cited by the Oxford English Dictionary. Flautist was used in 1860 by Nathaniel Hawthorne in The Marble Faun, after being adopted during the 18th century from Italy (flautista, itself from flauto), like many musical terms in England since the Italian Renaissance. Other English terms, now virtually obsolete, are fluter (15th–19th centuries) and flutenist (17th and 18th centuries). History The oldest flute ever discovered may be a fragment of the femur of a juvenile cave bear, with two to four holes, found at Divje Babe in Slovenia and dated to about 43,000 years ago. However, this has been disputed. In 2008 another flute dated back to at least 35,000 years ago was discovered in Hohle Fels cave near Ulm, Germany. The five-holed flute has a V-shaped mouthpiece and is made from a vulture wing bone. The researchers involved in the discovery officially published their findings in the journal Nature, in August 2009. The discovery was also the oldest confirmed find of any musical instrument in history, until a redating of flutes found in Geißenklösterle cave revealed them to be even older with an age of 42,000 to 43,000 years. The flute, one of several found, was found in the Hohle Fels cavern next to the Venus of Hohle Fels and a short distance from the oldest known human carving. On announcing the discovery, scientists suggested that the "finds demonstrate the presence of a well-established musical tradition at the time when modern humans colonized Europe". Scientists have also suggested that the discovery of the flute may help to explain "the probable behavioural and cognitive gulf between" Neanderthals and early modern human. A three-holed flute, 18.7 cm long, made from a mammoth tusk (from the Geißenklösterle cave, near Ulm, in the southern German Swabian Alb and dated to 30,000 to 37,000 years ago) was discovered in 2004, and two flutes made from swan bones excavated a decade earlier (from the same cave in Germany, dated to circa 36,000 years ago) are among the oldest known musical instruments. A playable 9,000-year-old Gudi (literally, "bone flute") was excavated from a tomb in Jiahu along with 29 defunct twins, made from the wing bones of red-crowned cranes with five to eight holes each, in the Central Chinese province of Henan. The earliest extant Chinese transverse flute is a chi (篪) flute discovered in the Tomb of Marquis Yi of Zeng at the Suizhou site, Hubei province, China. It dates from 433 BC, of the later Zhou Dynasty. It is fashioned of lacquered bamboo with closed ends and has five stops that are at the flute's side instead of the top. Chi flutes are mentioned in Shi Jing, compiled and edited by Confucius, according to tradition. The earliest written reference to a flute is from a Sumerian-language cuneiform tablet dated to c. 2600–2700 BC. Flutes are also mentioned in a recently translated tablet of the Epic of Gilgamesh, an epic poem whose development spanned the period of approximately 2100–600 BC. Additionally, a set of cuneiform tablets knows as the "musical texts" provide precise tuning instructions for seven scale of a stringed instrument (assumed to be a Babylonian lyre). One of those scales is named embūbum, which is an Akkadian word for "flute". The Bible, in Genesis 4:21, cites Jubal as being the "father of all those who play the ugab and the kinnor". The former Hebrew term is believed by some to refer to some wind instrument, or wind instruments in general, the latter to a stringed instrument, or stringed instruments in general. As such, Jubal is regarded in the Judeo-Christian tradition as the inventor of the flute (a word used in some translations of this biblical passage). Elsewhere in the Bible, the flute is referred to as "chalil" (from the root word for "hollow"), in particular in 1 Samuel 10:5, 1 Kings 1:40, Isaiah 5:12 and 30:29, and Jeremiah 48:36. Archeological digs in the Holy Land have discovered flutes from both the Bronze Age (c. 4000–1200 BC) and the Iron Age (1200–586 BC), the latter era "witness[ing] the creation of the Israelite kingdom and its separation into the two kingdoms of Israel and Judea." Some early flutes were made out of tibias (shin bones). The flute has also always been an essential part of Indian culture and mythology, and the cross flute believed by several accounts to originate in India as Indian literature from 1500 BC has made vague references to the cross flute. Acoustics A flute produces sound when a stream of air directed across a hole in the instrument creates a vibration of air at the hole. The airstream creates a Bernoulli or siphon. This excites the air contained in the usually cylindrical resonant cavity within the flute. The flutist changes the pitch of the sound produced by opening and closing holes in the body of the instrument, thus changing the effective length of the resonator and its corresponding resonant frequency. By varying the air pressure, a flutist can also change the pitch by causing the air in the flute to resonate at a harmonic rather than the fundamental frequency without opening or closing any of the holes. Head joint geometry appears particularly critical to acoustic performance and tone, but there is no clear consensus on a particular shape amongst manufacturers. Acoustic impedance of the embouchure hole appears the most critical parameter. Critical variables affecting this acoustic impedance include: chimney length (hole between lip-plate and head tube), chimney diameter, and radii or curvature of the ends of the chimney and any designed restriction in the "throat" of the instrument, such as that in the Japanese Nohkan Flute. A study in which professional flutists were blindfolded could find no significant differences between flutes made from a variety of metals. In two different sets of blind listening, no flute was correctly identified in a first listening, and in a second, only the silver flute was identified. The study concluded that there was "no evidence that the wall material has any appreciable effect on the sound color or dynamic range". Types In its most basic form, a flute is an open tube which is blown into. After focused study and training, players use controlled air-direction to create an airstream in which the air is aimed downward into the tone hole of the flute's headjoint. There are several broad classes of flutes. With most flutes, the musician blows directly across the edge of the mouthpiece, with 1/4 of their bottom lip covering the embouchure hole. However, some flutes, such as the whistle, gemshorn, flageolet, recorder, tin whistle, tonette, fujara, and ocarina have a duct that directs the air onto the edge (an arrangement that is termed a "fipple"). These are known as fipple flutes. The fipple gives the instrument a distinct timbre which is different from non-fipple flutes and makes the instrument easier to play, but takes a degree of control away from the musician. Another division is between side-blown (or transverse) flutes, such as the Western concert flute, piccolo, fife, dizi and bansuri; and end-blown flutes, such as the ney, xiao, kaval, danso, shakuhachi, Anasazi flute and quena. The player of a side-blown flute uses a hole on the side of the tube to produce a tone, instead of blowing on an end of the tube. End-blown flutes should not be confused with fipple flutes such as the recorder, which are also played vertically but have an internal duct to direct the air flow across the edge of the tone hole. Flutes may be open at one or both ends. The ocarina, xun, pan pipes, police whistle, and bosun's whistle are closed-ended. Open-ended flutes such as the concert flute and the recorder have more harmonics, and thus more flexibility for the player, and brighter timbres. An organ pipe may be either open or closed, depending on the sound desired. Flutes may have any number of pipes or tubes, though one is the most common number. Flutes with multiple resonators may be played one resonator at a time (as is typical with pan pipes) or more than one at a time (as is typical with double flutes). Flutes can be played with several different air sources. Conventional flutes are blown with the mouth, although some cultures use nose flutes. The flue pipes of organs, which are acoustically similar to duct flutes, are blown by bellows or fans. Western transverse Wooden one-keyed Usually in D, wooden transverse flutes were played in European classical music mainly in the period from the early 18th century to the early 19th century. As such, the instrument is often indicated as baroque flute. Gradually marginalized by the Western concert flute in the 19th century, baroque flutes were again played from the late 20th century as part of the historically informed performance practice. Concert The Western concert flute, a descendant of the medieval German flute, is a transverse treble flute that is closed at the top. An embouchure hole is positioned near the top across and into which the flutist blows. The flute has circular tone holes larger than the finger holes of its baroque predecessors. The size and placement of tone holes, key mechanism, and fingering system used to produce the notes in the flute's range were evolved from 1832 to 1847 by Theobald Boehm, who helped greatly improve the instrument's dynamic range and intonation over its predecessors. With some refinements (and the rare exception of the Kingma system and other custom adapted fingering systems), Western concert flutes typically conform to Boehm's design, known as the Boehm system. Beginner's flutes are made of nickel, silver, or brass that is silver-plated, while professionals use solid silver, gold, and sometimes even platinum flutes. There are also modern wooden-bodied flutes usually with silver or gold keywork. The wood is usually African Blackwood. The standard concert flute is pitched in C and has a range of three octaves starting from middle C or one half step lower when a B foot is attached. This means that the concert flute is one of the highest common orchestra and concert band instruments. Concert variants The piccolo plays an octave higher than the regular treble flute. Lower members of the flute family include the G alto and C bass flutes that are used occasionally, and are pitched a perfect fourth and an octave below the concert flute, respectively. The contrabass, double contrabass, and hyperbass are other rare forms of the flute pitched two, three, and four octaves below middle C respectively. Other sizes of flutes and piccolos are used from time to time. A rarer instrument of the modern pitching system is the G treble flute. Instruments made according to an older pitch standard, used principally in wind-band music, include D piccolo, E soprano flute (Keyed a minor 3rd above the standard C flute), F alto flute, and B bass flute. Indian The bamboo flute is an important instrument in Indian classical music, and developed independently of the Western flute. The Hindu God Lord Krishna is traditionally considered a master of the bamboo flute. The Indian flutes are very simple compared to the Western counterparts; they are made of bamboo and are keyless. Two main varieties of Indian flutes are currently used. The first, the Bansuri (बांसुरी), has six finger holes and one embouchure hole, and is used predominantly in the Hindustani music of Northern India. The second, the Venu or Pullanguzhal, has eight finger holes, and is played predominantly in the Carnatic music of Southern India. Presently, the eight-holed flute with cross-fingering technique is common among many Carnatic flutists. Prior to this, the South Indian flute had only seven finger holes, with the fingering standard developed by Sharaba Shastri, of the Palladam school, at the beginning of the 20th century. The quality of the flute's sound depends somewhat on the specific bamboo used to make it, and it is generally agreed that the best bamboo grows in the Nagercoil area of South India. In 1998 Bharata Natya Shastra Sarana Chatushtai, Avinash Balkrishna Patwardhan developed a methodology to produce perfectly tuned flutes for the ten 'thatas' currently present in Indian Classical Music. In a regional dialect of Gujarati, a flute is also called Pavo. Some people can also play pair of flutes (Jodiyo Pavo) simultaneously. Chinese In China there are many varieties of dizi (笛子), or Chinese flute, with different sizes, structures (with or without a resonance membrane) and number of holes (from 6 to 11) and intonations (different keys). Most are made of bamboo, but can come in wood, jade, bone, and iron. One peculiar feature of the Chinese flute is the use of a resonance membrane mounted on one of the holes that vibrates with the air column inside the tube. This membrane is called a di mo, which is usually a thin tissue paper. It gives the flute a bright sound. Commonly seen flutes in the modern Chinese orchestra are the bangdi (梆笛), qudi (曲笛), xindi (新笛), and dadi (大笛). The bamboo flute played vertically is called the xiao (簫), which is a different category of wind instrument in China. Korean The Korean flute, called the daegeum, 대금, is a large bamboo transverse flute used in traditional Korean music. It has a buzzing membrane that gives it a unique timbre. Japanese The Japanese flute, called the fue, , encompasses a large number of musical flutes from Japan, include the end-blown shakuhachi and hotchiku, as well as the transverse gakubue, komabue, ryūteki, nōkan, shinobue, kagurabue and minteki. Sodina and suling The sodina is an end-blown flute found throughout the island state of Madagascar, located in the Indian Ocean off southeastern Africa. One of the oldest instruments on the island, it bears close resemblance to end-blown flutes found in Southeast Asia and particularly Indonesia, where it is known as the suling, suggesting the predecessor to the sodina was carried to Madagascar in outrigger canoes by the island's original settlers emigrating from Borneo. An image of the most celebrated contemporary sodina flutist, Rakoto Frah (d. 2001), was featured on the local currency. Sring The sring (also called blul) is a relatively small, end-blown flute with a nasal tone quality found in the Caucasus region of Eastern Armenia. It is made of wood or cane, usually with seven finger holes and one thumb hole, producing a diatonic scale. One Armenian musicologist believes the sring to be the most characteristic of national Armenian instruments. Breathing techniques There are several means by which flautists breathe to blow air through the instrument and produce sound. They include diaphragmatic breathing and circular breathing. Diaphragmatic breathing optimizes inhalation, minimizing the number of breaths. Circular breathing brings air in through the nose and out through the mouth, enabling a continuous sound. See also Bansuri Flute method Diple Frula Hand flute Irish flute Jazz flute List of flutists Native American flute Palendag Pipe and tabor Washint Pipe (instrument) References Bibliography Buchanan, Donna A. 2001. "Bulgaria §II: Traditional Music, 2: Characteristics of Pre-Socialist Musical Culture, 1800–1944, (iii): Instruments". The New Grove Dictionary of Music and Musicians, second edition, edited by Stanley Sadie and John Tyrrell. London: Macmillan Publishers. Crane, Frederick. 1972. Extant Medieval Musical Instruments: A Provisional Catalogue by Types. Iowa City: University of Iowa Press. Galway, James. 1982. Flute. Yehudi Menuhin Music Guides. London: Macdonald. (cloth); (pbk.) New York: Schirmer Books. Reprinted 1990, London: Kahn & Averill London: Khan & Averill Loewy, Andrea Kapell. 1990. "Frederick the Great: Flutist and composer". College Music Symposium 30 (1): 117–125. JSTOR 40374049. The famous Prussian king (1712–1786) was a composer and patron of music. Phelan, James, 2004. The complete guide to the flute and piccolo: From acoustics and construction to repair and maintenance, second edition. [S.l.]: Burkart-Phelan, Inc., 2004. Putnik, Edwin. 1970. The Art of Flute Playing. Evanston, Illinois: Summy-Birchard Inc. Revised edition 1973, Princeton, New Jersey and Evanston, Illinois. Toff, Nancy. 1985. The Flute Book: A Complete Guide for Students and Performers. New York: Charles's Scribners Sons. Newton Abbot: David & Charles. Second Edition 1996, New York: Oxford University Press. Wye, Trevor. 1988. Proper Flute Playing: A Companion to the Practice Books. London: Novello. Maclagan, Susan J. "A Dictionary for the Modern Flutist", 2009, Lanham, Maryland, USA: Scarecrow Press. External links Ardal Powell. "Flute". Grove Music Online. Oxford Music Online. Oxford University Press. (by subscription) Essay on the Jiahu flutes from the Heilbrunn Timeline of Art History at The Metropolitan Museum of Art A selection of historic flutes from around the world at The Metropolitan Museum of Art Walking Stick Flute and Oboe, Georg Henrich Scherer, Butzbach, c. 1750–57 Glass flute, Claude Laurent, Paris, 1813 Porcelain flute, Saxony, 1760–1790 Pair of ivory flutes by Johann Wilhelm Oberlender, mid-18th century, Nuremberg Flute by Garion, Paris, c. 1720–1740 Flute acoustics Resources on flute acoustics from the University of New South Wales. Folk flutes (Polish folk musical instruments) Bamboo Flute 16 Feet World's Longest Playble Flute New World Record by DM Office, Pilibhit, Uttar Pradesh. Woodwind instruments Jazz instruments Classical music instruments Orchestral instruments
10577
https://en.wikipedia.org/wiki/Finland
Finland
Finland ( ; ), officially the Republic of Finland (; ), is a Nordic country and a member state of the European Union in Northern Europe. It shares land borders with Sweden to the west, Russia to the east, Norway to the north, and is defined by the Gulf of Bothnia to the west, and the Gulf of Finland of the Baltic Sea across Estonia to the south. Finland covers an area of with a population of 5.5 million. Helsinki is the country's capital and largest city, and forms a larger metropolitan area together with the neighbouring cities of Espoo, Kauniainen, and Vantaa. Finland is officially bilingual, with Finnish and Swedish being official. The climate varies relative to latitude, from the southern humid continental climate to the northern boreal climate. The land cover is primarily a boreal forest biome, with more than 180,000 recorded lakes. Finland was first inhabited around 9000 BC after the Last glacial period. The Stone Age introduced several different ceramic styles and cultures. The Bronze Age and Iron Age were characterized by extensive contacts with other cultures in Fennoscandia and the Baltic region. From the late 13th century, Finland gradually became an integral part of Sweden as a consequence of the Northern Crusades. In 1809, as a result of the Finnish War, Finland became part of the Russian Empire as the autonomous Grand Duchy of Finland, during which Finnish art flourished and the idea of independence began to take hold. In 1906, Finland became the first European state to grant universal suffrage, and the first in the world to give all adult citizens the right to run for public office. Nicholas II, the last Tsar of Russia, tried to russify Finland and terminate its political autonomy, but after the 1917 Russian Revolution, Finland declared independence from Russia. In 1918, the fledgling state was divided by the Finnish Civil War. During World War II, Finland fought the Soviet Union in the Winter War and the Continuation War, and Nazi Germany in the Lapland War. After the wars, Finland lost parts of its territory, including the culturally and historically significant town of Vyborg, but maintained its independence. Finland largely remained an agrarian country until the 1950s. After World War II, the country rapidly industrialized and developed an advanced economy, while building an extensive welfare state based on the Nordic model, resulting in widespread prosperity and a high per capita income. Finland joined the United Nations in 1955 and adopted an official policy of neutrality. Finland joined the OECD in 1969, the NATO Partnership for Peace in 1994, the European Union in 1995, the Euro-Atlantic Partnership Council in 1997, and the Eurozone at its inception in 1999. Finland is a top performer in numerous metrics of national performance, including education, economic competitiveness, civil liberties, quality of life and human development. In 2015, Finland was ranked first in the World Human Capital and the Press Freedom Index and as the most stable country in the world during 2011–2016 in the Fragile States Index, and second in the Global Gender Gap Report. It also ranked first on the World Happiness Report report for 2018, 2019, 2020 and 2021. Etymology Finland The earliest written appearance of the name Finland is thought to be on three runestones. Two were found in the Swedish province of Uppland and have the inscription finlonti (U 582). The third was found in Gotland. It has the inscription finlandi (G 319) and dates back to the 13th century. The name can be assumed to be related to the tribe name Finns, which is mentioned at first known time AD 98 (disputed meaning). Suomi The name Suomi () has uncertain origins, but a common etymology with saame (the Sami, the native people of Lapland) and Häme (a province in the inland) has been suggested (Proto-Finnic *hämä from older *šämä, possibly loaned into Proto-Saami as *sāmē), whose source could be the Proto-Baltic word *źemē, meaning '(low) land'. According to the hypothesis, *sāmē – or *šämä directly – was loaned back into Baltic as *sāma- (compare Latvian sāms 'Finn, Öselian'), from which Northern Finnic reborrowed it (perhaps via a Germanic intermediate *sōma-) as *sōma- > *sōme- 'Finland'. In addition to the close relatives of Finnish (the Finnic languages), this name is also used in the Baltic languages Latvian (soms, Somija) and Lithuanian (suomis, Suomija), although these are evidently later borrowings. An alternative hypothesis by Petri Kallio suggests the Proto-Indo-European word *(dʰ)ǵʰm-on- 'human' (cf. Gothic guma, Latin homo), being borrowed into Uralic as *ćoma. It has been suggested that the Finnish word Suomi is first attested the Royal Frankish Annals annal for 811, which mentions a person called Suomi among the Danish delegation at a peace treaty with the Franks. If so, it is also the earliest evidence for the change from the proto-Finnic monophthong to the Finnish diphthong . However, some historical linguists view this interpretation of the name as unlikely, supposing another etymology or that the spelling originated as a scribal error (in which case the sound-change > could have happened much later). Concept In the earliest historical sources, from the 12th and 13th centuries, the term Finland refers to the coastal region around Turku from Perniö to Uusikaupunki. This region later became known as Finland Proper in distinction from the country name Finland. Finland became a common name for the whole country in a centuries-long process that started when the Catholic Church established a missionary diocese in Nousiainen in the northern part of the province of Suomi possibly sometime in the 12th century. The devastation of Finland during the Great Northern War (1714–1721) and during the Russo-Swedish War (1741–1743) caused Sweden to begin carrying out major efforts to defend its eastern half from Russia. These 18th-century experiences created a sense of a shared destiny that when put in conjunction with the unique Finnish language, led to the adoption of an expanded concept of Finland. History Prehistory If the archeological finds from Wolf Cave are the result of Neanderthals' activities, the first people inhabited Finland approximately 120,000–130,000 years ago. The area that is now Finland was settled in, at the latest, around 8,500 BC during the Stone Age towards the end of the last glacial period. The artefacts the first settlers left behind present characteristics that are shared with those found in Estonia, Russia, and Norway. The earliest people were hunter-gatherers, using stone tools. The first pottery appeared in 5200 BC, when the Comb Ceramic culture was introduced. The arrival of the Corded Ware culture in Southern coastal Finland between 3000 and 2500 BC may have coincided with the start of agriculture. Even with the introduction of agriculture, hunting and fishing continued to be important parts of the subsistence economy. In the Bronze Age permanent all-year-round cultivation and animal husbandry spread, but the cold climate phase slowed the change. Cultures in Finland shared common features in pottery and also axes had similarities but local features existed. The Seima-Turbino phenomenon brought the first bronze artefacts to the region and possibly also the Finno-Ugric languages. Commercial contacts that had so far mostly been to Estonia started to extend to Scandinavia. Domestic manufacture of bronze artefacts started 1300 BC with . Bronze was imported from Volga region and from Southern Scandinavia. In the Iron Age population grew especially in Häme and Savo regions. Finland proper was the most densely populated area. Cultural contacts to the Baltics and Scandinavia became more frequent. Commercial contacts in the Baltic Sea region grew and extended during the eighth and ninth centuries. Main exports from Finland were furs, slaves, castoreum, and falcons to European courts. Imports included silk and other fabrics, jewelry, Ulfberht swords, and, in lesser extent, glass. Production of iron started approximately in 500 BC. At the end of the ninth century, indigenous artefact culture, especially women's jewelry and weapons, had more common local features than ever before. This has been interpreted to be expressing common Finnish identity which was born from an image of common origin. An early form of Finnic languages spread to the Baltic Sea region approximately 1900 BC with the Seima-Turbino-phenomenon. Common Finnic language was spoken around Gulf of Finland 2000 years ago. The dialects from which the modern-day Finnish language was developed came into existence during the Iron Age. Although distantly related, the Sami retained the hunter-gatherer lifestyle longer than the Finns. The Sami cultural identity and the Sami language have survived in Lapland, the northernmost province, but the Sami have been displaced or assimilated elsewhere. The 12th and 13th centuries were a violent time in the northern Baltic Sea. The Livonian Crusade was ongoing and the Finnish tribes such as the Tavastians and Karelians were in frequent conflicts with Novgorod and with each other. Also, during the 12th and 13th centuries several crusades from the Catholic realms of the Baltic Sea area were made against the Finnish tribes. According to historical sources, Danes waged at least three crusades to Finland, in 1187 or slightly earlier, in 1191 and in 1202, and Swedes, possibly the so-called second crusade to Finland, in 1249 against Tavastians and the third crusade to Finland in 1293 against the Karelians. The so-called first crusade to Finland, possibly in 1155, is most likely an unreal event. Also, it is possible that Germans made violent conversion of Finnish pagans in the 13th century. According to a papal letter from 1241, the king of Norway was also fighting against "nearby pagans" at that time. Swedish era As a result of the crusades (mostly with the second crusade led by Birger Jarl) and the colonization of some Finnish coastal areas with Christian Swedish population during the Middle Ages, including the old capital Turku, Finland gradually became part of the kingdom of Sweden and the sphere of influence of the Catholic Church. Due to the Swedish conquest, the Finnish upper class lost its position and lands to the new Swedish and German nobility and to the Catholic Church. In Sweden even in the 17th and 18th centuries, it was clear that Finland was a conquered country and its inhabitants could be treated arbitrarily. Swedish kings visited Finland rarely and in Swedish contemporary texts Finns were portrayed to be primitive and their language inferior. Swedish became the dominant language of the nobility, administration, and education; Finnish was chiefly a language for the peasantry, clergy, and local courts in predominantly Finnish-speaking areas. During the Protestant Reformation, the Finns gradually converted to Lutheranism. In the 16th century, Mikael Agricola published the first written works in Finnish, and Finland's current capital city, Helsinki, was founded by Gustav I of Sweden. The first university in Finland, the Royal Academy of Turku, was established in 1640. The Finns reaped a reputation in the Thirty Years' War (1618–1648) as a well-trained cavalrymen called "Hakkapeliitta", that division excelled in sudden and savage attacks, raiding and reconnaissance, which King Gustavus Adolphus took advantage of in his significant battles, like in the Battle of Breitenfeld (1631) and the Battle of Rain (1632). Finland suffered a severe famine in 1696–1697, during which about one third of the Finnish population died, and a devastating plague a few years later. In the 18th century, wars between Sweden and Russia twice led to the occupation of Finland by Russian forces, times known to the Finns as the Greater Wrath (1714–1721) and the Lesser Wrath (1742–1743). It is estimated that almost an entire generation of young men was lost during the Great Wrath, due mainly to the destruction of homes and farms, and to the burning of Helsinki. By this time Finland was the predominant term for the whole area from the Gulf of Bothnia to the Russian border. Two Russo-Swedish wars in twenty-five years served as reminders to the Finnish people of the precarious position between Sweden and Russia. An increasingly vocal elite in Finland soon determined that Finnish ties with Sweden were becoming too costly, and following the Russo-Swedish War (1788–1790), the Finnish elite's desire to break with Sweden only heightened. Even before the war there were conspiring politicians, among them Georg Magnus Sprengtporten, who had supported Gustav III's coup in 1772. Sprengtporten fell out with the king and resigned his commission in 1777. In the following decade he tried to secure Russian support for an autonomous Finland, and later became an adviser to Catherine II. In the spirit of the notion of Adolf Ivar Arwidsson (1791–1858) – "we are not Swedes, we do not want to become Russians, let us therefore be Finns" – a Finnish national identity started to become established. Notwithstanding the efforts of Finland's elite and nobility to break ties with Sweden, there was no genuine independence movement in Finland until the early 20th century. As a matter of fact, at this time the Finnish peasantry was outraged by the actions of their elite and almost exclusively supported Gustav's actions against the conspirators. (The High Court of Turku condemned Sprengtporten as a traitor around 1793.) The Swedish era ended in the Finnish War in 1809. Russian era On 29 March 1809, having been taken over by the armies of Alexander I of Russia in the Finnish War, Finland became an autonomous Grand Duchy in the Russian Empire with the recognition given at the Diet held in Porvoo. This situation lasted until the end of 1917. In 1812, Alexander I incorporated the Russian Vyborg province into the Grand Duchy of Finland. In 1854, Finland became involved in Russia's involvement in the Crimean War, when the British and French navies bombed the Finnish coast and Åland during the so-called Åland War. During the Russian era, the Finnish language began to gain recognition. From the 1860s onwards, a strong Finnish nationalist movement known as the Fennoman movement grew, and one of its most prominent leading figures of the movement was the philosopher J. V. Snellman, who was strictly inclined to Hegel's idealism, and who pushed for the stabilization of the status of the Finnish language and its own currency, the Finnish markka, in the Grand Duchy of Finland. Milestones included the publication of what would become Finland's national epic – the Kalevala – in 1835, and the Finnish language's achieving equal legal status with Swedish in 1892. The Finnish famine of 1866–1868 killed approximately 15% of the population, making it one of the worst famines in European history. The famine led the Russian Empire to ease financial regulations, and investment rose in following decades. Economic and political development was rapid. The gross domestic product (GDP) per capita was still half of that of the United States and a third of that of Britain. In 1906, universal suffrage was adopted in the Grand Duchy of Finland. However, the relationship between the Grand Duchy and the Russian Empire soured when the Russian government made moves to restrict Finnish autonomy. For example, the universal suffrage was, in practice, virtually meaningless, since the tsar did not have to approve any of the laws adopted by the Finnish parliament. Desire for independence gained ground, first among radical liberals and socialists. The case is known as the "Russification of Finland", driven by the last tsar of Russian Empire, Nicholas II. Civil war and early independence After the 1917 February Revolution, the position of Finland as part of the Russian Empire was questioned, mainly by Social Democrats. Since the head of state was the tsar of Russia, it was not clear who the chief executive of Finland was after the revolution. The Parliament, controlled by social democrats, passed the so-called Power Act to give the highest authority to the Parliament. This was rejected by the Russian Provisional Government which decided to dissolve the Parliament. New elections were conducted, in which right-wing parties won with a slim majority. Some social democrats refused to accept the result and still claimed that the dissolution of the parliament (and thus the ensuing elections) were extralegal. The two nearly equally powerful political blocs, the right-wing parties and the social democratic party, were highly antagonized. The October Revolution in Russia changed the geopolitical situation once more. Suddenly, the right-wing parties in Finland started to reconsider their decision to block the transfer of highest executive power from the Russian government to Finland, as the Bolsheviks took power in Russia. Rather than acknowledge the authority of the Power Act of a few months earlier, the right-wing government, led by Prime Minister P. E. Svinhufvud, presented Declaration of Independence on 4 December 1917, which was officially approved two days later, on 6 December, by the Finnish Parliament. The Russian Soviet Federative Socialist Republic (RSFSR), led by Vladimir Lenin, recognized independence on 4 January 1918. On 27 January 1918, the official opening shots of the civil war were fired in two simultaneous events: on the one hand the government's beginning to disarm the Russian forces in Pohjanmaa, and on the other, a coup launched by the Social Democratic Party. The latter gained control of southern Finland and Helsinki, but the White government continued in exile from Vaasa. This sparked the brief but bitter civil war. The Whites, who were supported by Imperial Germany, prevailed over the Reds, which were guided by Kullervo Manner's desire to make the newly independent country a Finnish Socialist Workers' Republic (also known as "Red Finland") and part of the RSFSR. After the war, tens of thousands of Reds and suspected sympathizers were interned in camps, where thousands were executed or died from malnutrition and disease. Deep social and political enmity was sown between the Reds and Whites and would last until the Winter War and beyond. Even nowadays, the civil war remains a sensitive topic. The civil war and the 1918–1920 activist expeditions called "Kinship Wars" into Soviet Russia strained Eastern relations. At that time, the idea of a Greater Finland also emerged for the first time. After a brief experimentation with monarchy, when an attempt to make Prince Frederick Charles of Hesse King of Finland was unsuccessful, Finland became a presidential republic, with K. J. Ståhlberg elected as its first president in 1919. As a liberal nationalist with a legal background, Ståhlberg anchored the state in liberal democracy, supported the rule of law, and embarked on internal reforms. Finland was also one of the first European countries to strongly aim for equality for women, with Miina Sillanpää serving in Väinö Tanner's cabinet as the first female minister in Finnish history in 1926–1927. The Finnish–Russian border was defined in 1920 by the Treaty of Tartu, largely following the historic border but granting Pechenga () and its Barents Sea harbour to Finland. Finnish democracy did not experience any Soviet coup attempts and likewise survived the anti-communist Lapua Movement. Nevertheless, the relationship between Finland and the Soviet Union remained tense. Army officers were trained in France, and relations with Western Europe and Sweden were strengthened. In 1917, the population was three million. Credit-based land reform was enacted after the civil war, increasing the proportion of the capital-owning population. About 70% of workers were occupied in agriculture and 10% in industry. The largest export markets were the United Kingdom and Germany. World War II and after Finland fought the Soviet Union in the Winter War of 1939–1940 after the Soviet Union attacked Finland and in the Continuation War of 1941–1944, following Operation Barbarossa, when Finland aligned with Germany following Germany's invasion of the Soviet Union. For 872 days, the German army, aided indirectly by Finnish forces, besieged Leningrad, the USSR's second-largest city. After Finnish resistance to a major Soviet offensive in June and July 1944 led to a standstill, the two sides reached an armistice. This was followed by the Lapland War of 1944–1945, when Finland fought retreating German forces in northern Finland. Perhaps the most famous war heroes during the aforementioned wars were Simo Häyhä, Aarne Juutilainen, and Lauri Törni. The treaties signed with the Soviet Union in 1947 and 1948 included Finnish obligations, restraints, and reparations, as well as further Finnish territorial concessions in addition to those in the Moscow Peace Treaty of 1940. As a result of the two wars, Finland ceded Petsamo, along with parts of Finnish Karelia and Salla. This amounted to 10% of Finland's land area and 20% of its industrial capacity, including the ports of Vyborg (Viipuri) and the ice-free Liinakhamari (Liinahamari). Almost the whole Finnish population, some 400,000 people, fled these areas. The former Finnish territory now constitutes part of Russia's Republic of Karelia, Leningrad Oblast, and Murmansk Oblast. Finland was never occupied by Soviet forces and it retained its independence, but at a loss of about 97,000 soldiers. The war reparations demanded by the Soviet Union amounted to $300 million (5.5 billion in 2020). Finland rejected Marshall aid, in apparent deference to Soviet desires. However, in the hope of preserving Finland's independence, the United States provided secret development aid and helped the Social Democratic Party. Establishing trade with the Western powers, such as the United Kingdom, and paying reparations to the Soviet Union produced a transformation of Finland from a primarily agrarian economy to an industrialized one. Valmet was founded to create materials for war reparations. After the reparations had been paid off, Finland continued to trade with the Soviet Union in the framework of bilateral trade. In 1950, 46% of Finnish workers worked in agriculture and a third lived in urban areas. The new jobs in manufacturing, services, and trade quickly attracted people to the towns. The average number of births per woman declined from a baby boom peak of 3.5 in 1947 to 1.5 in 1973. When baby-boomers entered the workforce, the economy did not generate jobs quickly enough, and hundreds of thousands emigrated to the more industrialized Sweden, with emigration peaking in 1969 and 1970. The 1952 Summer Olympics brought international visitors. Finland took part in trade liberalization in the World Bank, the International Monetary Fund and the General Agreement on Tariffs and Trade. Officially claiming to be neutral, Finland lay in the grey zone between the Western countries and the Soviet bloc. The military YYA Treaty (Finno-Soviet Pact of Friendship, Cooperation and Mutual Assistance) gave the Soviet Union some leverage in Finnish domestic politics. This was extensively exploited by president Urho Kekkonen against his opponents. He maintained an effective monopoly on Soviet relations from 1956 on, which was crucial for his continued popularity. In politics, there was a tendency to avoid any policies and statements that could be interpreted as anti-Soviet. This phenomenon was given the name "Finlandization" by the West German press. During the Cold War, Finland also developed into one of the centres of the East-West espionage, in which both the KGB and the CIA played their parts. The 1949 established Finnish Security Intelligence Service (SUPO, Suojelupoliisi), an operational security authority and a police unit under the Interior Ministry, whose core areas of activity are counter-Intelligence, counter-terrorism and national security, also participated in this activity in some places. Despite close relations with the Soviet Union, Finland maintained a market economy. Various industries benefited from trade privileges with the Soviets, which explains the widespread support that pro-Soviet policies enjoyed among business interests in Finland. Economic growth was rapid in the postwar era, and by 1975 Finland's GDP per capita was the 15th-highest in the world. In the 1970s and 1980s, Finland built one of the most extensive welfare states in the world. Finland negotiated with the European Economic Community (EEC, a predecessor of the European Union) a treaty that mostly abolished customs duties towards the EEC starting from 1977, although Finland did not fully join. In 1981, President Urho Kekkonen's failing health forced him to retire after holding office for 25 years. Finland reacted cautiously to the collapse of the Soviet Union, but swiftly began increasing integration with the West. On 21 September 1990, Finland unilaterally declared the Paris Peace Treaty obsolete, following the German reunification decision nine days earlier. Miscalculated macroeconomic decisions, a banking crisis, the collapse of its largest trading partner (the Soviet Union), and a global economic downturn caused a deep early 1990s recession in Finland. The depression bottomed out in 1993, and Finland saw steady economic growth for more than ten years. Like other Nordic countries, Finland decentralized its economy since the late 1980s. Financial and product market regulation were loosened. Some state enterprises have been privatized and there have been some modest tax cuts. Finland joined the European Union in 1995, and the Eurozone in 1999. Much of the late 1990s economic growth was fueled by the success of the mobile phone manufacturer Nokia, which held a unique position of representing 80% of the market capitalization of the Helsinki Stock Exchange. Geography Lying approximately between latitudes 60° and 70° N, and longitudes 20° and 32° E, Finland is one of the world's northernmost countries. Of world capitals, only Reykjavík lies more to the north than Helsinki. The distance from the southernmost point – Hanko in Uusimaa – to the northernmost – Nuorgam in Lapland – is . Finland has about 168,000 lakes (of area larger than ) and 179,000 islands. Its largest lake, Saimaa, is the fourth largest in Europe. The Finnish Lakeland is the area with the most lakes in the country; many of the major cities in the area, most notably Tampere, Jyväskylä and Kuopio, are located in the immediate vicinity of the large lakes. The greatest concentration of islands is found in the southwest, in the Archipelago Sea between continental Finland and the main island of Åland. Much of the geography of Finland is a result of the Ice Age. The glaciers were thicker and lasted longer in Fennoscandia compared with the rest of Europe. Their eroding effects have left the Finnish landscape mostly flat with few hills and fewer mountains. Its highest point, the Halti at , is found in the extreme north of Lapland at the border between Finland and Norway. The highest mountain whose peak is entirely in Finland is Ridnitšohkka at , directly adjacent to Halti. The retreating glaciers have left the land with morainic deposits in formations of eskers. These are ridges of stratified gravel and sand, running northwest to southeast, where the ancient edge of the glacier once lay. Among the biggest of these are the three Salpausselkä ridges that run across southern Finland. Having been compressed under the enormous weight of the glaciers, terrain in Finland is rising due to the post-glacial rebound. The effect is strongest around the Gulf of Bothnia, where land steadily rises about a year. As a result, the old sea bottom turns little by little into dry land: the surface area of the country is expanding by about annually. Relatively speaking, Finland is rising from the sea. The landscape is covered mostly by coniferous taiga forests and fens, with little cultivated land. Of the total area 10% is lakes, rivers and ponds, and 78% forest. The forest consists of pine, spruce, birch, and other species. Finland is the largest producer of wood in Europe and among the largest in the world. The most common type of rock is granite. It is a ubiquitous part of the scenery, visible wherever there is no soil cover. Moraine or till is the most common type of soil, covered by a thin layer of humus of biological origin. Podzol profile development is seen in most forest soils except where drainage is poor. Gleysols and peat bogs occupy poorly drained areas. Biodiversity Phytogeographically, Finland is shared between the Arctic, central European, and northern European provinces of the Circumboreal Region within the Boreal Kingdom. According to the WWF, the territory of Finland can be subdivided into three ecoregions: the Scandinavian and Russian taiga, Sarmatic mixed forests, and Scandinavian Montane Birch forest and grasslands. Taiga covers most of Finland from northern regions of southern provinces to the north of Lapland. On the southwestern coast, south of the Helsinki-Rauma line, forests are characterized by mixed forests, that are more typical in the Baltic region. In the extreme north of Finland, near the tree line and Arctic Ocean, Montane Birch forests are common. Finland had a 2018 Forest Landscape Integrity Index mean score of 5.08/10, ranking it 109th globally out of 172 countries. Similarly, Finland has a diverse and extensive range of fauna. There are at least sixty native mammalian species, 248 breeding bird species, over 70 fish species, and 11 reptile and frog species present today, many migrating from neighbouring countries thousands of years ago. Large and widely recognized wildlife mammals found in Finland are the brown bear, grey wolf, wolverine, and elk. The brown bear, which is also nicknamed as the "king of the forest" by the Finns, is the country's official national animal, which also occur on the coat of arms of the Satakunta region is a crown-headed black bear carrying a sword, possibly referring to the regional capital city of Pori, whose Swedish name Björneborg and the Latin name Arctopolis literally means "bear city" or "bear fortress". Three of the more striking birds are the whooper swan, a large European swan and the national bird of Finland; the Western capercaillie, a large, black-plumaged member of the grouse family; and the Eurasian eagle-owl. The latter is considered an indicator of old-growth forest connectivity, and has been declining because of landscape fragmentation. Around 24,000 species of Insects are prevalent in Finland some of the most common being hornets with tribes of beetles such as the Onciderini also being common. The most common breeding birds are the willow warbler, common chaffinch, and redwing. Of some seventy species of freshwater fish, the northern pike, perch, and others are plentiful. Atlantic salmon remains the favourite of fly rod enthusiasts. The endangered Saimaa ringed seal (Pusa hispida saimensis), one of only three lake seal species in the world, exists only in the Saimaa lake system of southeastern Finland, down to only 390 seals today. Ever since the species was protected in 1955, it has become the emblem of the Finnish Association for Nature Conservation. The Saimaa ringed seal lives nowadays mainly in two Finnish national parks, Kolovesi and Linnansaari, but strays have been seen in a much larger area, including near Savonlinna's town centre. Climate The main factor influencing Finland's climate is the country's geographical position between the 60th and 70th northern parallels in the Eurasian continent's coastal zone. In the Köppen climate classification, the whole of Finland lies in the boreal zone, characterized by warm summers and freezing winters. Within the country, the temperateness varies considerably between the southern coastal regions and the extreme north, showing characteristics of both a maritime and a continental climate. Finland is near enough to the Atlantic Ocean to be continuously warmed by the Gulf Stream. The Gulf Stream combines with the moderating effects of the Baltic Sea and numerous inland lakes to explain the unusually warm climate compared with other regions that share the same latitude, such as Alaska, Siberia, and southern Greenland. Winters in southern Finland (when mean daily temperature remains below ) are usually about 100 days long, and in the inland the snow typically covers the land from about late November to April, and on the coastal areas such as Helsinki, snow often covers the land from late December to late March. Even in the south, the harshest winter nights can see the temperatures fall to although on coastal areas like Helsinki, temperatures below are rare. Climatic summers (when mean daily temperature remains above ) in southern Finland last from about late May to mid-September, and in the inland, the warmest days of July can reach over . Although most of Finland lies on the taiga belt, the southernmost coastal regions are sometimes classified as hemiboreal. In northern Finland, particularly in Lapland, the winters are long and cold, while the summers are relatively warm but short. The most severe winter days in Lapland can see the temperature fall down to . The winter of the north lasts for about 200 days with permanent snow cover from about mid-October to early May. Summers in the north are quite short, only two to three months, but can still see maximum daily temperatures above during heat waves. No part of Finland has Arctic tundra, but Alpine tundra can be found at the fells Lapland. The Finnish climate is suitable for cereal farming only in the southernmost regions, while the northern regions are suitable for animal husbandry. A quarter of Finland's territory lies within the Arctic Circle and the midnight sun can be experienced for more days the farther north one travels. At Finland's northernmost point, the sun does not set for 73 consecutive days during summer, and does not rise at all for 51 days during winter. Counties Finland consists of 19 counties, called in Finnish and in Swedish. The counties are governed by regional councils which serve as forums of cooperation for the municipalities of a county. The main tasks of the counties are regional planning and development of enterprise and education. In addition, the public health services are usually organized on the basis of counties. Currently, the only county where a popular election is held for the council is Kainuu. Other regional councils are elected by municipal councils, each municipality sending representatives in proportion to its population. In addition to inter-municipal cooperation, which is the responsibility of regional councils, each county has a state Employment and Economic Development Centre which is responsible for the local administration of labour, agriculture, fisheries, forestry, and entrepreneurial affairs. The Finnish Defence Forces regional offices are responsible for the regional defence preparations and for the administration of conscription within the county. Counties represent dialectal, cultural, and economic variations better than the former provinces, which were purely administrative divisions of the central government. Historically, counties are divisions of historical provinces of Finland, areas which represent dialects and culture more accurately. Six Regional State Administrative Agencies were created by the state of Finland in 2010, each of them responsible for one of the counties called in Finnish and in Swedish; in addition, Åland was designated a seventh county. These take over some of the tasks of the earlier Provinces of Finland (lääni/län), which were abolished. The county of Eastern Uusimaa (Itä-Uusimaa) was consolidated with Uusimaa on 1 January 2011. Administrative divisions The fundamental administrative divisions of the country are the municipalities, which may also call themselves towns or cities. They account for half of public spending. Spending is financed by municipal income tax, state subsidies, and other revenue. , there are 309 municipalities, and most have fewer than 6,000 residents. In addition to municipalities, two intermediate levels are defined. Municipalities co-operate in seventy sub-regions and nineteen counties. These are governed by the member municipalities and have only limited powers. The autonomous province of Åland has a permanent democratically elected regional council. Sami people have a semi-autonomous Sami native region in Lapland for issues on language and culture. In the following chart, the number of inhabitants includes those living in the entire municipality (kunta/kommun), not just in the built-up area. The land area is given in km2, and the density in inhabitants per km2 (land area). The figures are as of . The capital region – comprising Helsinki, Vantaa, Espoo and Kauniainen – forms a continuous conurbation of over 1.1 million people. However, common administration is limited to voluntary cooperation of all municipalities, e.g. in Helsinki Metropolitan Area Council. Government and politics Constitution The Constitution of Finland defines the political system; Finland is a parliamentary republic within the framework of a representative democracy. The Prime Minister is the country's most powerful person. The current version of the constitution was enacted on 1 March 2000, and was amended on 1 March 2012. Citizens can run and vote in parliamentary, municipal, presidential and European Union elections. President The head of state of Finland is President of the Republic of Finland (in Finnish: Suomen tasavallan presidentti; in Swedish: Republiken Finlands president). Finland has had for most of its independence a semi-presidential system, but in the last few decades the powers of the President have been diminished. Constitutional amendments, which came into effect in 1991 and 1992, as well as a new drafted constitution of 2000 (amended in 2012), have made the presidency a primarily ceremonial office. However, the President still leads the nation's foreign politics together with the Council of State and is the commander-in-chief of the Defence Forces. The position still does entail some powers, including responsibility for foreign policy (excluding affairs related to the European Union) in cooperation with the cabinet, being the head of the armed forces, some decree and pardoning powers, and some appointive powers. Direct, one- or two-stage elections are used to elect the president for a term of six years and for a maximum of two consecutive 6-year terms. The current president is Sauli Niinistö; he took office on 1 March 2012. Former presidents were K. J. Ståhlberg (1919–1925), L. K. Relander (1925–1931), P. E. Svinhufvud (1931–1937), Kyösti Kallio (1937–1940), Risto Ryti (1940–1944), C. G. E. Mannerheim (1944–1946), J. K. Paasikivi (1946–1956), Urho Kekkonen (1956–1982), Mauno Koivisto (1982–1994), Martti Ahtisaari (1994–2000), and Tarja Halonen (2000–2012). The current president was elected from the ranks of the National Coalition Party for the first time since 1946. The presidency between 1946 and the present was instead held by a member of the Social Democratic Party or the Centre Party. Parliament The 200-member unicameral Parliament of Finland (, ) exercises supreme legislative authority in the country. It may alter the constitution and ordinary laws, dismiss the cabinet, and override presidential vetoes. Its acts are not subject to judicial review; the constitutionality of new laws is assessed by the parliament's constitutional law committee. The parliament is elected for a term of four years using the proportional D'Hondt method within a number of multi-seat constituencies through the most open list multi-member districts. Various parliament committees listen to experts and prepare legislation. Since universal suffrage was introduced in 1906, the parliament has been dominated by the Centre Party (former Agrarian Union), the National Coalition Party, and the Social Democrats. These parties have enjoyed approximately equal support, and their combined vote has totalled about 65–80% of all votes. Their lowest common total of MPs, 121, was reached in the 2011 elections. For a few decades after 1944, the Communists were a strong fourth party. Due to the electoral system of proportional representation, and the relative reluctance of voters to switch their support between parties, the relative strengths of the parties have commonly varied only slightly from one election to another. However, there have been some long-term trends, such as the rise and fall of the Communists during the Cold War; the steady decline into insignificance of the Liberals and their predecessors from 1906 to 1980; and the rise of the Green League since 1983. The Marin Cabinet is the incumbent 76th government of Finland. It was formed following the collapse of the Rinne Cabinet and officially took office on 10 December 2019. The cabinet consists of a coalition formed by the Social Democratic Party, the Centre Party, the Green League, the Left Alliance, and the Swedish People's Party. Cabinet After parliamentary elections, the parties negotiate among themselves on forming a new cabinet (the Finnish Government), which then has to be approved by a simple majority vote in the parliament. The cabinet can be dismissed by a parliamentary vote of no confidence, although this rarely happens (the last time in 1957), as the parties represented in the cabinet usually make up a majority in the parliament. The cabinet exercises most executive powers, and originates most of the bills that the parliament then debates and votes on. It is headed by the Prime Minister of Finland, and consists of him or her, of other ministers, and of the Chancellor of Justice. The current prime minister is Sanna Marin (Social Democratic Party). Each minister heads his or her ministry, or, in some cases, has responsibility for a subset of a ministry's policy. After the prime minister, the most powerful minister is the minister of finance. The incumbent Minister of Finance is Matti Vanhanen. As no one party ever dominates the parliament, Finnish cabinets are multi-party coalitions. As a rule, the post of prime minister goes to the leader of the biggest party and that of the minister of finance to the leader of the second biggest. Law The judicial system of Finland is a civil law system divided between courts with regular civil and criminal jurisdiction and administrative courts with jurisdiction over litigation between individuals and the public administration. Finnish law is codified and based on Swedish law and in a wider sense, civil law or Roman law. The court system for civil and criminal jurisdiction consists of local courts (käräjäoikeus, tingsrätt), regional appellate courts (hovioikeus, hovrätt), and the Supreme Court (korkein oikeus, högsta domstolen). The administrative branch of justice consists of administrative courts (hallinto-oikeus, förvaltningsdomstol) and the Supreme Administrative Court (korkein hallinto-oikeus, högsta förvaltningsdomstolen). In addition to the regular courts, there are a few special courts in certain branches of administration. There is also a High Court of Impeachment for criminal charges against certain high-ranking officeholders. Around 92% of residents have confidence in Finland's security institutions. The overall crime rate of Finland is not high in the EU context. Some crime types are above average, notably the high homicide rate for Western Europe. A day fine system is in effect and also applied to offenses such as speeding. Finland has successfully fought against government corruption, which was more common in the 1970s and 1980s. For instance, economic reforms and EU membership introduced stricter requirements for open bidding and many public monopolies were abolished. Today, Finland has a very low number of corruption charges; Transparency International ranks Finland as one of the least corrupt countries in Europe. In 2008, Transparency International criticized the lack of transparency of the system of Finnish political finance. According to GRECO in 2007, corruption should be taken into account in the Finnish system of election funds better. A scandal revolving around campaign finance of the 2007 parliamentary elections broke out in spring 2008. Nine cabinet ministers submitted incomplete funding reports and even more of the members of parliament. The law includes no punishment of false funds reports of the elected politicians. Foreign relations According to the 2012 constitution, the president (currently Sauli Niinistö) leads foreign policy in cooperation with the government, except that the president has no role in EU affairs. In 2008, president Martti Ahtisaari was awarded the Nobel Peace Prize. Finland was considered a cooperative model state, and Finland did not oppose proposals for a common EU defence policy. This was reversed in the 2000s, when Tarja Halonen and Erkki Tuomioja made Finland's official policy to resist other EU members' plans for common defence. Military The Finnish Defence Forces consist of a cadre of professional soldiers (mainly officers and technical personnel), currently serving conscripts, and a large reserve. The standard readiness strength is 34,700 people in uniform, of which 25% are professional soldiers. A universal male conscription is in place, under which all male Finnish nationals above 18 years of age serve for 6 to 12 months of armed service or 12 months of civilian (non-armed) service. Voluntary post-conscription overseas peacekeeping service is popular, and troops serve around the world in UN, NATO, and EU missions. Approximately 500 women choose voluntary military service every year. Women are allowed to serve in all combat arms including front-line infantry and special forces. The army consists of a highly mobile field army backed up by local defence units. The army defends the national territory and its military strategy employs the use of the heavily forested terrain and numerous lakes to wear down an aggressor, instead of attempting to hold the attacking army on the frontier. Finnish defence expenditure per capita is one of the highest in the European Union. The Finnish military doctrine is based on the concept of total defence. The term total means that all sectors of the government and economy are involved in the defence planning. The armed forces are under the command of the Chief of Defence (currently General Jarmo Lindberg), who is directly subordinate to the president in matters related to military command. The branches of the military are the army, the navy, and the air force. The border guard is under the Ministry of the Interior but can be incorporated into the Defence Forces when required for defence readiness. Even while Finland hasn't joined the North Atlantic Treaty Organization, the country has joined the NATO Response Force, the EU Battlegroup, the NATO Partnership for Peace and in 2014 signed a NATO memorandum of understanding,<ref></erf></ref> thus forming a practical coalition. In 2015, the Finland-NATO ties were strengthened with a host nation support agreement allowing assistance from NATO troops in emergency situations. Finland has been an active participant in the Afghanistan and Kosovo. Social security Finland has one of the world's most extensive welfare systems, one that guarantees decent living conditions for all residents: Finns, and non-citizens. Since the 1980s the social security has been cut back, but still the system is one of the most comprehensive in the world. Created almost entirely during the first three decades after World War II, the social security system was an outgrowth of the traditional Nordic belief that the state was not inherently hostile to the well-being of its citizens, but could intervene benevolently on their behalf. According to some social historians, the basis of this belief was a relatively benign history that had allowed the gradual emergence of a free and independent peasantry in the Nordic countries and had curtailed the dominance of the nobility and the subsequent formation of a powerful right wing. Finland's history has been harsher than the histories of the other Nordic countries, but not harsh enough to bar the country from following their path of social development. Human rights § 6 in two sentences of the Finnish Constitution states: "No one shall be placed in a different position on situation of sex, age, origin, language, religion, belief, opinion, state of health, disability or any other personal reason without an acceptable reason." Finland has been ranked above average among the world's countries in democracy, press freedom, and human development. Amnesty International has expressed concern regarding some issues in Finland, such as alleged permitting of stopovers of CIA rendition flights, the imprisonment of conscientious objectors, and societal discrimination against Romani people and members of other ethnic and linguistic minorities. Economy The economy of Finland has a per capita output equal to that of other European economies such as those of France, Germany, Belgium, or the UK. The largest sector of the economy is the service sector at 66% of GDP, followed by manufacturing and refining at 31%. Primary production represents 2.9%. With respect to foreign trade, the key economic sector is manufacturing. The largest industries in 2007 were electronics (22%); machinery, vehicles, and other engineered metal products (21.1%); forest industry (13%); and chemicals (11%). The gross domestic product peaked in 2008. , the country's economy is at the 2006 level. Finland has significant timber, mineral (iron, chromium, copper, nickel, and gold), and freshwater resources. Forestry, paper factories, and the agricultural sector (on which taxpayers spend around €3 billion annually) are important for rural residents so any policy changes affecting these sectors are politically sensitive for politicians dependent on rural votes. The Greater Helsinki area generates around one third of Finland's GDP. In a 2004 OECD comparison, high-technology manufacturing in Finland ranked second largest after Ireland. Knowledge-intensive services have also resulted in the smallest and slow-growth sectors – especially agriculture and low-technology manufacturing – being ranked the second largest after Ireland. Finland's climate and soils make growing crops a particular challenge. The country lies between the latitudes 60°N and 70°N, and it has severe winters and relatively short growing seasons that are sometimes interrupted by frost. However, because the Gulf Stream and the North Atlantic Drift Current moderate the climate, Finland contains half of the world's arable land north of 60° north latitude. Annual precipitation is usually sufficient, but it occurs almost exclusively during the winter months, making summer droughts a constant threat. In response to the climate, farmers have relied on quick-ripening and frost-resistant varieties of crops, and they have cultivated south-facing slopes as well as richer bottomlands to ensure production even in years with summer frosts. Most farmland was originally either forest or swamp, and the soil has usually required treatment with lime and years of cultivation to neutralize excess acid and to improve fertility. Irrigation has generally not been necessary, but drainage systems are often needed to remove excess water. Finland's agriculture has been efficient and productive—at least when compared with farming in other European countries. Forests play a key role in the country's economy, making it one of the world's leading wood producers and providing raw materials at competitive prices for the crucial wood-processing industries. As in agriculture, the government has long played a leading role in forestry, regulating tree cutting, sponsoring technical improvements, and establishing long-term plans to ensure that the country's forests continue to supply the wood-processing industries. To maintain the country's comparative advantage in forest products, Finnish authorities moved to raise lumber output toward the country's ecological limits. In 1984, the government published the Forest 2000 plan, drawn up by the Ministry of Agriculture and Forestry. The plan aimed at increasing forest harvests by about 3% per year, while conserving forestland for recreation and other uses. Private sector employees amount to 1.8 million, out of which around a third with tertiary education. The average cost of a private sector employee per hour was €25.10 in 2004. , average purchasing power-adjusted income levels are similar to those of Italy, Sweden, Germany, and France. In 2006, 62% of the workforce worked for enterprises with less than 250 employees and they accounted for 49% of total business turnover and had the strongest rate of growth. The female employment rate is high. Gender segregation between male-dominated professions and female-dominated professions is higher than in the US. The proportion of part-time workers was one of the lowest in OECD in 1999. In 2013, the 10 largest private sector employers in Finland were Itella, Nokia, OP-Pohjola, ISS, VR, Kesko, UPM-Kymmene, YIT, Metso, and Nordea. The unemployment rate was 9.4% in 2015, having risen from 8.7% in 2014. Youth unemployment rate rose from 16.5% in 2007 to 20.5% in 2014. A fifth of residents are outside the job market at the age of 50 and less than a third are working at the age of 61. In 2014, nearly one million people were living with minimal wages or unemployed not enough to cover their costs of living. , 2.4 million households reside in Finland. The average size is 2.1 persons; 40% of households consist of a single person, 32% two persons and 28% three or more persons. Residential buildings total 1.2 million, and the average residential space is per person. The average residential property without land costs €1,187 per sq metre and residential land €8.60 per sq metre. 74% of households had a car. There are 2.5 million cars and 0.4 million other vehicles. Around 92% have a mobile phone and 83.5% (2009) Internet connection at home. The average total household consumption was €20,000, out of which housing consisted of about €5,500, transport about €3,000, food and beverages (excluding alcoholic beverages) at around €2,500, and recreation and culture at around €2,000. According to Invest in Finland, private consumption grew by 3% in 2006 and consumer trends included durables, high-quality products, and spending on well-being. In 2017, Finland's GDP reached €224 billion. However, second quarter of 2018 saw a slow economic growth. Unemployment rate fell to a near one-decade low in June, marking private consumption growth much higher. Finland has the highest concentration of cooperatives relative to its population. The largest retailer, which is also the largest private employer, S-Group, and the largest bank, OP-Group, in the country are both cooperatives. Energy The free and largely privately owned financial and physical Nordic energy markets traded in NASDAQ OMX Commodities Europe and Nord Pool Spot exchanges, have provided competitive prices compared with other EU countries. , Finland has roughly the lowest industrial electricity prices in the EU-15 (equal to France). In 2006, the energy market was around 90 terawatt hours and the peak demand around 15 gigawatts in winter. This means that the energy consumption per capita is around 7.2 tons of oil equivalent per year. Industry and construction consumed 51% of total consumption, a relatively high figure reflecting Finland's industries. Finland's hydrocarbon resources are limited to peat and wood. About 10–15% of the electricity is produced by hydropower, which is low compared with more mountainous Sweden or Norway. In 2008, renewable energy (mainly hydropower and various forms of wood energy) was high at 31% compared with the EU average of 10.3% in final energy consumption. Russia supplies more than 75% of Finland's oil imports and 100% of total gas imports. Finland has four privately owned nuclear reactors producing 18% of the country's energy at the Otaniemi campus. The fifth AREVA-Siemens-built reactor – the world's largest at 1600 MWe and a focal point of Europe's nuclear industry – has faced many delays and is currently scheduled to be operational by June 2022, over 12 years after the original planned opening. A varying amount (5–17%) of electricity has been imported from Russia (at around 3 gigawatt power line capacity), Sweden and Norway. The Onkalo spent nuclear fuel repository is currently under construction at the Olkiluoto Nuclear Power Plant in the municipality of Eurajoki, on the west coast of Finland, by the company Posiva. Transport Finland's road system is utilized by most internal cargo and passenger traffic. The annual state operated road network expenditure of around €1 billion is paid for with vehicle and fuel taxes which amount to around €1.5 billion and €1 billion, respectively. Among the Finnish highways, the most significant and busiest main roads include the Turku Highway (E18), the Tampere Highway (E12), the Lahti Highway (E75), and the ring roads (Ring I and Ring III) of the Helsinki metropolitan area and the Tampere Ring Road of the Tampere urban area. The main international passenger gateway is Helsinki Airport, which handled about 21 million passengers in 2019 (5 million in 2020 due to COVID-19 pandemic). Oulu Airport is the second largest with 1 million passengers in 2019 (300,000 in 2020), whilst another 25 airports have scheduled passenger services. The Helsinki Airport-based Finnair, Blue1, and Nordic Regional Airlines, Norwegian Air Shuttle sell air services both domestically and internationally. Helsinki has an optimal location for great circle (i.e. the shortest and most efficient) routes between Western Europe and the Far East. Despite having a low population density, the Government annually spends around €350 million to maintain the network of railway tracks. Rail transport is handled by the state owned VR Group, which has a 5% passenger market share (out of which 80% are from urban trips in Greater Helsinki) and 25% cargo market share. Since 12 December 2010, Karelian Trains, a joint venture between Russian Railways and VR Group, has been running Alstom Pendolino operated high-speed services between Saint Petersburg's Finlyandsky and Helsinki's Central railway stations. These services are branded as "Allegro" trains. The journey from Helsinki to Saint Petersburg takes only three and a half hours. A high-speed rail line is planned between Helsinki and Turku, with a line from the capital to Tampere also proposed. Helsinki opened the world's northernmost metro system in 1982, which also serves the neighbouring city of Espoo since 2017. The majority of international cargo shipments are handled at ports. Vuosaari Harbour in Helsinki is the largest container port in Finland; others include Kotka, Hamina, Hanko, Pori, Rauma, and Oulu. There is passenger traffic from Helsinki and Turku, which have ferry connections to Tallinn, Mariehamn, Stockholm and Travemünde. The Helsinki-Tallinn route – one of the busiest passenger sea routes in the world – has also been served by a helicopter line, and the Helsinki-Tallinn Tunnel has been proposed to provide railway services between the two cities. Largely following the example of the Øresund Bridge between Sweden and Denmark, the Kvarken Bridge connecting Umeå in Sweden and Vaasa in Finland to cross the Gulf of Bothnia has also been planned for decades. Industry Finland rapidly industrialized after World War II, achieving GDP per capita levels comparable to that of Japan or the UK in the beginning of the 1970s. Initially, most of the economic development was based on two broad groups of export-led industries, the "metal industry" (metalliteollisuus) and "forest industry" (metsäteollisuus). The "metal industry" includes shipbuilding, metalworking, the automotive industry, engineered products such as motors and electronics, and production of metals and alloys including steel, copper and chromium. Many of the world's biggest cruise ships, including MS Freedom of the Seas and the Oasis of the Seas have been built in Finnish shipyards. The "forest industry" includes forestry, timber, pulp and paper, and is often considered a logical development based on Finland's extensive forest resources, as 73% of the area is covered by forest. In the pulp and paper industry, many major companies are based in Finland; Ahlstrom-Munksjö, Metsä Board, and UPM are all Finnish forest-based companies with revenues exceeding €1 billion. However, in recent decades, the Finnish economy has diversified, with companies expanding into fields such as electronics (Nokia), metrology (Vaisala), petroleum (Neste), and video games (Rovio Entertainment), and is no longer dominated by the two sectors of metal and forest industry. Likewise, the structure has changed, with the service sector growing, with manufacturing declining in importance; agriculture remains a minor part. Despite this, production for export is still more prominent than in Western Europe, thus making Finland possibly more vulnerable to global economic trends. In 2017, the Finnish economy was estimated to consist of approximately 2.7% agriculture, 28.2% manufacturing and 69.1% services. In 2019, the per-capita income of Finland was estimated to be $48,869. In 2020, Finland was ranked 20th on the ease of doing business index, among 190 jurisdictions. Public policy Finnish politicians have often emulated the Nordic model. Nordics have been free-trading and relatively welcoming to skilled migrants for over a century, though in Finland immigration is relatively new. The level of protection in commodity trade has been low, except for agricultural products. Finland has top levels of economic freedom in many areas. Finland is ranked 16th in the 2008 global Index of Economic Freedom and ninth in Europe. While the manufacturing sector is thriving, the OECD points out that the service sector would benefit substantially from policy improvements. The 2007 IMD World Competitiveness Yearbook ranked Finland 17th most competitive. The World Economic Forum 2008 index ranked Finland the sixth most competitive. In both indicators, Finland's performance was next to Germany, and significantly higher than most European countries. In the Business competitiveness index 2007–2008 Finland ranked third in the world. Economists attribute much growth to reforms in the product markets. According to the OECD, only four EU-15 countries have less regulated product markets (UK, Ireland, Denmark and Sweden) and only one has less regulated financial markets (Denmark). Nordic countries were pioneers in liberalizing energy, postal, and other markets in Europe. The legal system is clear and business bureaucracy less than most countries. Property rights are well protected and contractual agreements are strictly honoured. Finland is rated the least corrupt country in the world in the Corruption Perceptions Index and 13th in the Ease of doing business index. This indicates exceptional ease in cross-border trading (5th), contract enforcement (7th), business closure (5th), tax payment (83rd), and low worker hardship (127th). In Finland, collective labour agreements are universally valid. These are drafted every few years for each profession and seniority level, with only few jobs outside the system. The agreement becomes universally enforceable provided that more than 50% of the employees support it, in practice by being a member of a relevant trade union. The unionization rate is high (70%), especially in the middle class (AKAVA, mostly for university-educated professionals: 80%). Tourism In 2017, tourism in Finland grossed approximately €15.0 billion with a 7% increase from the previous year. Of this, €4.6 billion (30%) came from foreign tourism. In 2017, there were 15.2 million overnight stays of domestic tourists and 6.7 million overnight stays of foreign tourists. Much of the sudden growth can be attributed to the globalization of the country as well as a rise in positive publicity and awareness. While Russia remains the largest market for foreign tourists, the biggest growth came from Chinese markets (35%). Tourism contributes roughly 2.7% to Finland's GDP, making it comparable to agriculture and forestry. Commercial cruises between major coastal and port cities in the Baltic region, including Helsinki, Turku, Mariehamn, Tallinn, Stockholm, and Travemünde, play a significant role in the local tourism industry. There are also separate ferry connections dedicated to tourism in the vicinity of Helsinki and its region, such as the connection to the fortress island of Suomenlinna or the connection to the old town of Porvoo. By passenger counts, the Port of Helsinki is the busiest port in the world after the Port of Dover in the United Kingdom and the Port of Tallinn in Estonia. The Helsinki-Vantaa International Airport is the fourth busiest airport in the Nordic countries in terms of passenger numbers, and about 90% of Finland's international air traffic passes through the airport. Lapland has the highest tourism consumption of any Finnish region. Above the Arctic Circle, in midwinter, there is a polar night, a period when the sun does not rise for days or weeks, or even months, and correspondingly, midnight sun in the summer, with no sunset even at midnight (for up to 73 consecutive days, at the northernmost point). Lapland is so far north that the aurora borealis, fluorescence in the high atmosphere due to solar wind, is seen regularly in the fall, winter, and spring. Finnish Lapland is also locally regarded as the home of Saint Nicholas or Santa Claus, with several theme parks, such as Santa Claus Village and Santa Park in Rovaniemi. Other significant tourist destinations in Lapland also include ski resorts (such as Levi, Ruka and Ylläs) and sleigh rides led by either reindeer or huskies. Tourist attractions in Finland include the natural landscape found throughout the country as well as urban attractions. Finland is covered with thick pine forests, rolling hills, and lakes. Finland contains 40 national parks (such as the Koli National Park in North Karelia), from the Southern shores of the Gulf of Finland to the high fells of Lapland. Outdoor activities range from Nordic skiing, golf, fishing, yachting, lake cruises, hiking, and kayaking, among many others. Bird-watching is popular for those fond of avifauna, however hunting is also popular. Elk and hare are common game in Finland. Finland also has urbanized regions with many cultural events and activities. The most famous tourist attractions in Helsinki include the Helsinki Cathedral and the Suomenlinna sea fortress. The most well-known Finnish amusement parks include Linnanmäki in Helsinki, Särkänniemi in Tampere, PowerPark in Kauhava, Tykkimäki in Kouvola and Nokkakivi in Laukaa. St. Olaf's Castle (Olavinlinna) in Savonlinna hosts the annual Savonlinna Opera Festival, and the medieval milieus of the cities of Turku, Rauma and Porvoo also attract curious spectators. Demographics The population of Finland is currently about 5.5 million. The current birth rate is 10.42 per 1,000 residents, for a fertility rate of 1.49 children born per woman, one of the lowest in the world, significantly below the replacement rate of 2.1. In 1887 Finland recorded its highest rate, 5.17 children born per woman. Finland has one of the oldest populations in the world, with a median age of 42.6 years. Approximately half of voters are estimated to be over 50 years old. Finland has an average population density of 18 inhabitants per square kilometre. This is the third-lowest population density of any European country, behind those of Norway and Iceland, and the lowest population density of any European Union member country. Finland's population has always been concentrated in the southern parts of the country, a phenomenon that became even more pronounced during 20th-century urbanization. Two of the three largest cities in Finland are situated in the Greater Helsinki metropolitan area—Helsinki and Espoo, and some municipalities in the metropolitan area have also shown clear growth of population year after year, the most notable being Järvenpää, Nurmijärvi, Kirkkonummi, Kerava and Sipoo. In the largest cities of Finland, Tampere holds the third place after Helsinki and Espoo while also Helsinki-neighbouring Vantaa is the fourth. Other cities with population over 100,000 are Turku, Oulu, Jyväskylä, Kuopio, and Lahti. On the other hand, Sottunga of Åland is the smallest municipality in Finland in terms of population (Luhanka in mainland Finland), and Savukoski of Lapland is sparsely populated in terms of population density. , there were 423,494 people with a foreign background living in Finland (7.7% of the population), most of whom are from the former Soviet Union, Estonia, Somalia, Iraq and former Yugoslavia. The children of foreigners are not automatically given Finnish citizenship, as Finnish nationality law practices and maintain jus sanguinis policy where only children born to at least one Finnish parent are granted citizenship. If they are born in Finland and cannot get citizenship of any other country, they become citizens. Additionally, certain persons of Finnish descent who reside in countries that were once part of Soviet Union, retain the right of return, a right to establish permanent residency in the country, which would eventually entitle them to qualify for citizenship. 387,215 people in Finland in 2018 were born in another country, representing 7% of the population. The 10 largest foreign born groups are (in order) from Russia, Estonia, Sweden, Iraq, Somalia, China, Thailand, Serbia, Vietnam and Turkey. Finland's immigrant population is growing. By 2035, the three largest cities in Finland are projected to have over a quarter of residents of a foreign-speaking background: in Helsinki, they are projected to form 26% of the population; in Espoo, 30%; and in Vantaa, 34%. The Helsinki region is projected to have 437,000 people of a foreign linguistic background, compared to 201,000 in 2019. Language Finnish and Swedish are the official languages of Finland. Finnish predominates nationwide while Swedish is spoken in some coastal areas in the west and south (with towns such as Ekenäs, Pargas, Närpes, Kristinestad, Jakobstad and Nykarleby.) and in the autonomous region of Åland, which is the only monolingual Swedish-speaking region in Finland. The native language of 87.3% of the population is Finnish, which is part of the Finnic subgroup of the Uralic language. The language is one of only four official EU languages not of Indo-European origin, and has no relation through descent to the other national languages of the Nordics. Conversely, Finnish is closely related to Estonian and Karelian, and more distantly to Hungarian and the Sámi languages. Swedish is the native language of 5.2% of the population (Swedish-speaking Finns). Finnish is dominant in all the country's larger cities; though Helsinki, Turku and Vaasa were once predominantly Swedish-speaking, they have undergone a language shift since the 19th century, getting a Finnish-speaking majority. Swedish is a compulsory school subject and general knowledge of the language is good among many non-native speakers: in 2005, a total of 47% of Finnish citizens reported the ability to speak Swedish, either as primary or a secondary language. Likewise, a majority of Swedish-speaking non-Ålanders are able to speak Finnish. However, most Swedish speaking youth reported seldom using Finnish: 71% reported always or mostly speaking Swedish in social settings outside of their households. The Finnish side of the land border with Sweden is unilingually Finnish-speaking. The Swedish across the border is distinct from the Swedish spoken in Finland. There is a sizeable pronunciation difference between the varieties of Swedish spoken in the two countries, although their mutual intelligibility is nearly universal. Finnish Romani is spoken by some 5,000–6,000 people; Romani and Finnish Sign Language are also recognized in the constitution. There are two sign languages: Finnish Sign Language, spoken natively by 4,000–5,000 people, and Finland-Swedish Sign Language, spoken natively by about 150 people. Tatar is spoken by a Finnish Tatar minority of about 800 people whose ancestors moved to Finland mainly during Russian rule from the 1870s to the 1920s. The Sámi languages have an official status in parts of Lapland, where the Sámi, numbering around 7,000, are recognized as an indigenous people. About a quarter of them speak a Sami language as their mother tongue. The Sami languages that are spoken in Finland are Northern Sami, Inari Sami, and Skolt Sami. The rights of minority groups (in particular Sami, Swedish speakers, and Romani people) are protected by the constitution. The Nordic languages and Karelian are also specially recognized in parts of Finland. The largest immigrant languages are Russian (1.5%), Estonian (0.9%), Arabic (0.6%), Somali (0.4%) and English (0.4%). English is studied by most pupils as a compulsory subject from the first grade (at seven years of age), formerly from the third or fifth grade, in the comprehensive school (in some schools other languages can be chosen instead), as a result of which Finns' English language skills have been significantly strengthened over several decades. German, French, Spanish and Russian can be studied as second foreign languages from the fourth grade (at 10 years of age; some schools may offer other options). About 93% of Finns can speak a second language. The figures in this section should be treated with caution, as they come from the official Finnish population register. People can only register one language and so bilingual or multilingual language users' language competencies are not properly included. A citizen of Finland that speaks bilingually Finnish and Swedish will often be registered as a Finnish only speaker in this system. Similarly "old domestic language" is a category applied to some languages and not others for political not linguistic reasons, for example Russian. Largest cities Religion With 3.9 million members, the Evangelical Lutheran Church of Finland is one of the largest Lutheran churches in the world and is also by far Finland's largest religious body; at the end of 2019, 68.7% of Finns were members of the church. The Evangelical Lutheran Church of Finland has seen its share of the country's population declining by roughly one percent annually in recent years. The decline has been due to both church membership resignations and falling baptism rates. The second largest group, accounting for 26.3% of the population in 2017, has no religious affiliation. The irreligious group rose quickly from just below 13% in the year 2000. A small minority belongs to the Finnish Orthodox Church (1.1%). Other Protestant denominations and the Roman Catholic Church are significantly smaller, as are the Jewish and other non-Christian communities (totalling 1.6%); for example, in the Protestant trend, there are about 1,500 Baptists concentrated in the region of Central Finland, and there are only about 2,000 Methodists who are scattered around the country. The Pew Research Center estimated the Muslim population at 2.7% in 2016. The main Lutheran and Orthodox churches are national churches of Finland with special roles such as in state ceremonies and schools. In 1869, Finland was the first Nordic country to disestablish its Evangelical Lutheran church by introducing the Church Act, followed by the Church of Sweden in 2000. Although the church still maintains a special relationship with the state, it is not described as a state religion in the Finnish Constitution or other laws passed by the Finnish Parliament. Finland's state church was the Church of Sweden until 1809. As an autonomous Grand Duchy under Russia 1809–1917, Finland retained the Lutheran State Church system, and a state church separate from Sweden, later named the Evangelical Lutheran Church of Finland, was established. It was detached from the state as a separate judicial entity when the new church law came to force in 1869. After Finland had gained independence in 1917, religious freedom was declared in the constitution of 1919 and a separate law on religious freedom in 1922. Through this arrangement, the Evangelical Lutheran Church of Finland lost its position as a state church but gained a constitutional status as a national church alongside the Finnish Orthodox Church, whose position however is not codified in the constitution. In 2016, 69.3% of Finnish children were baptized and 82.3% were confirmed in 2012 at the age of 15, and over 90% of the funerals are Christian. However, the majority of Lutherans attend church only for special occasions like Christmas ceremonies, weddings, and funerals. The Lutheran Church estimates that approximately 1.8% of its members attend church services weekly. The average number of church visits per year by church members is approximately two. According to a 2010 Eurobarometer poll, 33% of Finnish citizens responded that they "believe there is a God"; 42% answered that they "believe there is some sort of spirit or life force"; and 22% that they "do not believe there is any sort of spirit, God, or life force". According to ISSP survey data (2008), 8% consider themselves "highly religious", and 31% "moderately religious". In the same survey, 28% reported themselves as "agnostic" and 29% as "non-religious". Health Life expectancy has increased from 71 years for men and 79 years for women in 1990 to 79 years for men and 84 years for women in 2017. The under-five mortality rate has decreased from 51 per 1,000 live births in 1950 to 2.3 per 1,000 live births in 2017, ranking Finland's rate among the lowest in the world. The fertility rate in 2014 stood at 1.71 children born/per woman and has been below the replacement rate of 2.1 since 1969. With a low birth rate women also become mothers at a later age, the mean age at first live birth being 28.6 in 2014. A 2011 study published in The Lancet medical journal found that Finland had the lowest stillbirth rate out of 193 countries, including the UK, France and New Zealand. There has been a slight increase or no change in welfare and health inequalities between population groups in the 21st century. Lifestyle-related diseases are on the rise. More than half a million Finns suffer from diabetes, type 1 diabetes being globally the most common in Finland. Many children are diagnosed with type 2 diabetes. The number of musculoskeletal diseases and cancers are increasing, although the cancer prognosis has improved. Allergies and dementia are also growing health problems in Finland. One of the most common reasons for work disability are due to mental disorders, in particular depression. Treatment for depression has improved and as a result the historically high suicide rates have declined to 13 per 100 000 in 2017, closer to the North European average. Suicide rates are still among the highest among developed countries in the OECD. In the late 1960s, Finland had the highest death rates from coronary heart disease in the world. A long-term national public health program called the North Karelia Project was set up to tackle the problem. There is broad agreement that this effort blazed a trail as a populist public health success. There are 307 residents for each doctor. About 19% of health care is funded directly by households and 77% by taxation. In April 2012, Finland was ranked second in Gross National Happiness in a report published by The Earth Institute. Since 2012, Finland has every time ranked at least in the top 5 of world's happiest countries in the annual World Happiness Report by the United Nations, as well as ranking as the happiest country in 2018. Education and science Most pre-tertiary education is arranged at municipal level. Even though many or most schools were started as private schools, today only around 3 percent of students are enrolled in private schools (mostly specialist language and international schools), much less than in Sweden and most other developed countries. Pre-school education is rare compared with other EU countries and formal education is usually started at the age of 7. Primary school takes normally six years and lower secondary school three years. Most schools are managed by municipal officials. The flexible curriculum is set by the Ministry of Education and Culture and the Education Board. Education is compulsory between the ages of 7 and 16. After lower secondary school, graduates may either enter the workforce directly, or apply to trade schools or gymnasiums (upper secondary schools). Trade schools offer a vocational education: approximately 40% of an age group choose this path after the lower secondary school. Academically oriented gymnasiums have higher entrance requirements and specifically prepare for Abitur and tertiary education. Graduation from either formally qualifies for tertiary education. In tertiary education, two mostly separate and non-interoperating sectors are found: the profession-oriented polytechnics and the research-oriented universities. Education is free and living expenses are to a large extent financed by the government through student benefits. There are 15 universities and 24 Universities of Applied Sciences (UAS) in the country. The University of Helsinki is ranked 75th in the Top University Ranking of 2010. The World Economic Forum ranks Finland's tertiary education No. 1 in the world. Around 33% of residents have a tertiary degree, similar to Nordics and more than in most other OECD countries except Canada (44%), United States (38%) and Japan (37%). The proportion of foreign students is 3% of all tertiary enrolments, one of the lowest in OECD, while in advanced programs it is 7.3%, still below OECD average 16.5%. Other reputable universities of Finland include Aalto University in Espoo, both University of Turku and Åbo Akademi University in Turku, University of Jyväskylä, University of Oulu, LUT University in Lappeenranta and Lahti, University of Eastern Finland in Kuopio and Joensuu, and Tampere University. More than 30% of tertiary graduates are in science-related fields. Forest improvement, materials research, environmental sciences, neural networks, low-temperature physics, brain research, biotechnology, genetic technology, and communications showcase fields of study where Finnish researchers have had a significant impact. Finland has a long tradition of adult education, and by the 1980s nearly one million Finns were receiving some kind of instruction each year. Forty percent of them did so for professional reasons. Adult education appeared in a number of forms, such as secondary evening schools, civic and workers' institutes, study centres, vocational course centres, and folk high schools. Study centres allowed groups to follow study plans of their own making, with educational and financial assistance provided by the state. Folk high schools are a distinctly Nordic institution. Originating in Denmark in the 19th century, folk high schools became common throughout the region. Adults of all ages could stay at them for several weeks and take courses in subjects that ranged from handicrafts to economics. Finland is highly productive in scientific research. In 2005, Finland had the fourth most scientific publications per capita of the OECD countries. In 2007, 1,801 patents were filed in Finland. In addition, 38% of Finland's population has a university or college degree, which is among the highest percentages in the world. In 2010 a new law was enacted considering the universities, which defined that there are 16 of them as they were excluded from the public sector to be autonomous legal and financial entities, however enjoying special status in the legislation. As result many former state institutions were driven to collect funding from private sector contributions and partnerships. The change caused deep rooted discussions among the academic circles. English language is important in Finnish education. There are a number of degree programs that are taught in English, which attracts thousands of degree and exchange students every year. In December 2017 the OECD reported that Finnish fathers spend an average of eight minutes a day more with their school-aged children than mothers do. Culture Sauna The Finns' love for saunas is generally associated with Finnish cultural tradition in the world. Sauna is a type of dry steam bath practiced widely in Finland, which is especially evident in the strong tradition around Midsummer and Christmas. In Finland, the sauna has been a traditional cure or part of the treatment for many different diseases, thanks to the heat, which is why the sauna has been a very hygienic place. There is an old Finnish saying: "Jos sauna, terva ja viina ei auta, on tauti kuolemaksi." ("If sauna, tar and booze doesn't help you, then a disease is deadly"). The word is of Proto-Finnish origin (found in Finnic and Sámi languages) dating back 7,000 years. Steam baths have been part of European tradition elsewhere as well, but the sauna has survived best in Finland, in addition to Sweden, Estonia, Latvia, Russia, Norway, and parts of the United States and Canada. Moreover, nearly all Finnish houses have either their own sauna or in multi-storey apartment houses, a timeshare sauna. Public saunas were previously common, but the tradition has declined when saunas have been built nearly everywhere (private homes, municipal swimming halls, hotels, corporate headquarters, gyms, etc.). At one time, the World Sauna Championships were held in Heinola, Finland, but the death of a Russian competitor in 2010 finally stopped organizing the competitions as too dangerous. The Finnish sauna culture was inscribed on the UNESCO Intangible Cultural Heritage Lists at the 17 December 2020 meeting of the UNESCO Intergovernmental Committee for the Safeguarding of the Intangible Cultural Heritage. As authorized by the state, the Finnish Heritage Agency commits, together with Finnish sauna communities and promoters of the sauna culture, to safeguard the vitality of the sauna tradition and to highlight its importance as part of customs and wellbeing. Literature Written Finnish could be said to have existed since Mikael Agricola translated the New Testament into Finnish during the Protestant Reformation, but few notable works of literature were written until the 19th century and the beginning of a Finnish national Romantic Movement. This prompted Elias Lönnrot to collect Finnish and Karelian folk poetry and arrange and publish them as the Kalevala, the Finnish national epic. The era saw a rise of poets and novelists who wrote in Finnish, notably Aleksis Kivi (The Seven Brothers), Minna Canth (Anna Liisa), Eino Leino (), Johannes Linnankoski (The Song of the Blood-Red Flower) and Juhani Aho (The Railroad and Juha). Many writers of the national awakening wrote in Swedish, such as the national poet J. L. Runeberg (The Tales of Ensign Stål) and Zachris Topelius (The Tomten in Åbo Castle). After Finland became independent, there was a rise of modernist writers, most famously the Finnish-speaking Mika Waltari and Swedish-speaking Edith Södergran. Frans Eemil Sillanpää was awarded the Nobel Prize in Literature in 1939. World War II prompted a return to more national interests in comparison to a more international line of thought, characterized by Väinö Linna with his The Unknown Soldier and Under the North Star trilogy. Besides Lönnrot's Kalevala and Waltari, the Swedish-speaking Tove Jansson, best known as the creator of The Moomins, is the most translated Finnish writer; her books have been translated into more than 40 languages. Popular modern writers include Arto Paasilinna, Veikko Huovinen, Antti Tuuri, Ilkka Remes, Kari Hotakainen, Sofi Oksanen, Tuomas Kyrö, and Jari Tervo, while the best novel is annually awarded the prestigious Finlandia Prize. Visual arts, design, and architecture The visual arts in Finland started to form their individual characteristics in the 19th century, when Romantic nationalism was rising in autonomic Finland. The best known of Finnish painters, Akseli Gallen-Kallela, started painting in a naturalist style, but moved to national romanticism. Other notable world-famous Finnish painters include Magnus Enckell, Pekka Halonen, Eero Järnefelt, Helene Schjerfbeck and Hugo Simberg. Finland's best-known sculptor of the 20th century was Wäinö Aaltonen, remembered for his monumental busts and sculptures. Finns have made major contributions to handicrafts and industrial design: among the internationally renowned figures are Timo Sarpaneva, Tapio Wirkkala and Ilmari Tapiovaara. Finnish architecture is famous around the world, and has contributed significantly to several styles internationally, such as Jugendstil (or Art Nouveau), Nordic Classicism and Functionalism. Among the top 20th-century Finnish architects to gain international recognition are Eliel Saarinen and his son Eero Saarinen. Architect Alvar Aalto is regarded as among the most important 20th-century designers in the world; he helped bring functionalist architecture to Finland, but soon was a pioneer in its development towards an organic style. Aalto is also famous for his work in furniture, lamps, textiles and glassware, which were usually incorporated into his buildings. Music Classical Much of Finland's classical music is influenced by traditional Karelian melodies and lyrics, as comprised in the Kalevala. Karelian culture is perceived as the purest expression of the Finnic myths and beliefs, less influenced by Germanic influence than the Nordic folk dance music that largely replaced the kalevaic tradition. Finnish folk music has undergone a roots revival in recent decades, and has become a part of popular music. The people of northern Finland, Sweden, and Norway, the Sami, are known primarily for highly spiritual songs called joik. The same word sometimes refers to lavlu or vuelie songs, though this is technically incorrect. The first Finnish opera was written by the German-born composer Fredrik Pacius in 1852. Pacius also wrote the music to the poem Maamme/Vårt land (Our Country), Finland's national anthem. In the 1890s Finnish nationalism based on the Kalevala spread, and Jean Sibelius became famous for his vocal symphony Kullervo. He soon received a grant to study runo singers in Karelia and continued his rise as the first prominent Finnish musician. In 1899 he composed Finlandia, which played its important role in Finland gaining independence. He remains one of Finland's most popular national figures and is a symbol of the nation. Another one of the most significant and internationally best-known Finnish-born classical composers long before Sibelius was Bernhard Crusell. Modern Iskelmä (coined directly from the German word Schlager, meaning "hit") is a traditional Finnish word for a light popular song. Finnish popular music also includes various kinds of dance music; tango, a style of Argentine music, is also popular. The light music in Swedish-speaking areas has more influences from Sweden. Modern Finnish popular music includes a number of prominent rock bands, jazz musicians, hip hop performers, dance music acts, etc. Also, at least a couple of Finnish polkas are known worldwide, such as Säkkijärven polkka and Ievan polkka. During the early 1960s, the first significant wave of Finnish rock groups emerged, playing instrumental rock inspired by groups such as The Shadows. Around 1964, Beatlemania arrived in Finland, resulting in further development of the local rock scene. During the late 1960s and '70s, Finnish rock musicians increasingly wrote their own music instead of translating international hits into Finnish. During the decade, some progressive rock groups such as Tasavallan Presidentti and Wigwam gained respect abroad but failed to make a commercial breakthrough outside Finland. This was also the fate of the rock and roll group Hurriganes. The Finnish punk scene produced some internationally acknowledged names including Terveet Kädet in the 1980s. Hanoi Rocks was a pioneering 1980s glam rock act that inspired the American hard rock group Guns N' Roses, among others. Many Finnish metal bands have gained international recognition; Finland has been often called the "Promised Land of Heavy Metal", because there are more than 50 metal Bands for every 100,000 inhabitants – more than any other nation in the world. Cinema and television In the film industry, notable directors include brothers Mika and Aki Kaurismäki, Dome Karukoski, Antti Jokinen, Jalmari Helander, Mauritz Stiller, Edvin Laine, Teuvo Tulio, Spede Pasanen, and Hollywood film director and producer Renny Harlin. Internationally well-known Finnish actors and actresses include Jasper Pääkkönen, Peter Franzén, Laura Birn, Irina Björklund, Samuli Edelmann, Krista Kosonen, Ville Virtanen and Joonas Suotamo. Around twelve feature films are made each year. One of the most internationally successful Finnish films are The White Reindeer, directed by Erik Blomberg in 1952, which won the Golden Globe Award for Best Foreign Film in 1956, five years after its limited release in the United States; The Man Without a Past, directed by Aki Kaurismäki in 2002, which was nominated for the Academy Award for Best Foreign Language Film in 2002 and won the Grand Prix at the 2002 Cannes Film Festival; and The Fencer, directed by Klaus Härö in 2015, which was nominated for the 73rd Golden Globe Awards in the Best Foreign Language Film category as a Finnish/German/Estonian co-production. In Finland, the most significant films include The Unknown Soldier, directed by Edvin Laine in 1955, which is shown on television every Independence Day. Here, Beneath the North Star from 1968, also directed by Laine, which includes the Finnish Civil War from the perspective of the Red Guards, is also one of the most significant works in Finnish history. A 1960 crime comedy film Inspector Palmu's Mistake, directed by Matti Kassila, was voted in 2012 the best Finnish film of all time by Finnish film critics and journalists in a poll organized by Yle Uutiset, but the 1984 comedy film Uuno Turhapuro in the Army, the ninth film in the Uuno Turhapuro film series, remains Finland's most seen domestic film made since 1968 by Finnish audience. Although Finland's television offerings are largely known for their domestic dramas, such as the long-running soap opera series Salatut elämät, there are also internationally known drama series, such as and Bordertown. One of Finland's most internationally successful TV shows are the backpacking travel documentary series Madventures and the reality TV show The Dudesons. Media and communications Thanks to its emphasis on transparency and equal rights, Finland's press has been rated the freest in the world. Today, there are around 200 newspapers, 320 popular magazines, 2,100 professional magazines, 67 commercial radio stations, three digital radio channels and one nationwide and five national public service radio channels. Each year, around 12,000 book titles are published and 12 million records are sold. Sanoma publishes the newspapers Helsingin Sanomat (its circulation of 412,000 making it the largest) and Aamulehti, the tabloid Ilta-Sanomat, the commerce-oriented Taloussanomat and the television channel Nelonen. The other major publisher Alma Media publishes over thirty magazines, including the tabloid Iltalehti and commerce-oriented Kauppalehti. Worldwide, Finns, along with other Nordic peoples and the Japanese, spend the most time reading newspapers. Yle, the Finnish Broadcasting Company, operates five television channels and thirteen radio channels in both national languages. Yle is funded through a mandatory television license and fees for private broadcasters. All TV channels are broadcast digitally, both terrestrially and on cable. The commercial television channel MTV3 and commercial radio channel Radio Nova are owned by Nordic Broadcasting (Bonnier and Proventus). In regards to telecommunication infrastructure, Finland is the highest ranked country in the World Economic Forum's Network Readiness Index (NRI) – an indicator for determining the development level of a country's information and communication technologies. Finland ranked first overall in the 2014 NRI ranking, unchanged from the year before. This is shown in its penetration throughout the country's population. Around 79% of the population use the Internet (2007). Finland had around 1.52 million broadband Internet connections by the end of June 2007 or around 287 per 1,000 inhabitants. All Finnish schools and public libraries have Internet connections and computers and most residents have a mobile phone. Cuisine Finnish cuisine is notable for generally combining traditional country fare and haute cuisine with contemporary style cooking. Fish and meat play a prominent role in traditional Finnish dishes from the western part of the country, while the dishes from the eastern part have traditionally included various vegetables and mushrooms. Refugees from Karelia contributed to foods in eastern Finland. Many regions have strongly branded traditional delicacies, such as Tampere has mustamakkara and Kuopio has kalakukko. Finnish foods often use wholemeal products (rye, barley, oats) and berries (such as bilberries, lingonberries, cloudberries, and sea buckthorn). Milk and its derivatives like buttermilk are commonly used as food, drink, or in various recipes. Various turnips were common in traditional cooking, but were replaced with the potato after its introduction in the 18th century. According to the statistics, red meat consumption has risen, but still Finns eat less beef than many other nations, and more fish and poultry. This is mainly because of the high cost of meat in Finland. Finland has the world's second highest per capita consumption of coffee. Milk consumption is also high, at an average of about , per person, per year, even though 17% of the Finns are lactose intolerant. Public holidays There are several holidays in Finland, of which perhaps the most characteristic of Finnish culture include Christmas (joulu), Midsummer (juhannus), May Day (vappu) and Independence Day (itsenäisyyspäivä). Of these, Christmas and Midsummer are special in Finland because the actual festivities take place on eves, such as Christmas Eve (jouluaatto) and Midsummer's Eve (juhannusaatto), while Christmas Day (joulupäivä) and Midsummer's Day (juhannuspäivä) are more consecrated to rest. Other public holidays in Finland are New Year's Day (uudenvuodenpäivä), Epiphany (loppiainen), Good Friday (pitkäperjantai), Easter Sunday (pääsiäissunnuntai) and Easter Monday (pääsiäismaanantai), Ascension Day (helatorstai), All Saints' Day (pyhäinpäivä) and Saint Stephen's Day (tapaninpäivä). All official holidays in Finland are established by Acts of Parliament. On the other hand, laskiainen that is strongly part of the Finnish tradition is not defined as a public holiday in relation to the above-mentioned holidays. Sports Various sporting events are popular in Finland. Pesäpallo, resembling baseball, is the national sport of Finland, although the most popular sport in terms of spectators is ice hockey. The Ice Hockey World Championships 2016 final, Finland-Canada, was watched by 69% of Finnish people on TV. At the 2022 Winter Olympics, Finland won the gold medal the first time, going undefeated and beating Russia in the final. Other popular sports include athletics, cross-country skiing, ski jumping, football, volleyball, and basketball. While ice hockey is the most popular sport when it comes to attendance at games, association football is the most played team sport in terms of the number of players in the country and is also the most appreciated sport in Finland. In terms of medals and gold medals won per capita, Finland is the best performing country in Olympic history. Finland first participated as a nation in its own right at the Olympic Games in 1908, while still an autonomous Grand Duchy within the Russian Empire. At the 1912 Summer Olympics, great pride was taken in the three gold medals won by the original "Flying Finn" Hannes Kolehmainen. Finland was one of the most successful countries at the Olympic Games before World War II. At the 1924 Summer Olympics, Finland, a nation then of only 3.2 million people, came second in the medal count. In the 1920s and '30s, Finnish long-distance runners dominated the Olympics, with Paavo Nurmi winning a total of nine Olympic gold medals between 1920 and 1928 and setting 22 official world records between 1921 and 1931. Nurmi is often considered the greatest Finnish sportsman and one of the greatest athletes of all time. For over 100 years, Finnish male and female athletes have consistently excelled at the javelin throw. The event has brought Finland nine Olympic gold medals, five world championships, five European championships, and 24 world records. The 1952 Summer Olympics were held in Helsinki. Other notable sporting events held in Finland include the 1983 and 2005 World Championships in Athletics. Finland also has a notable history in figure skating. Finnish skaters have won 8 world championships and 13 junior world cups in synchronized skating, and Finland is considered one of the best countries at the sport. Some of the most popular recreational sports and activities include floorball, Nordic walking, running, cycling, and skiing (alpine skiing, cross-country skiing, and ski jumping). Floorball, in terms of registered players, occupies third place after football and ice hockey. According to the Finnish Floorball Federation, floorball is the most popular school, youth, club and workplace sport. , the total number of licensed players reaches 57,400. Especially since the 2014 FIBA Basketball World Cup, Finland's national basketball team has received widespread public attention. More than 8,000 Finns travelled to Spain to support their team. Overall, they chartered more than 40 aeroplanes. See also Bibliography of Finland List of Finland-related topics Outline of Finland Notes References Further reading Chew, Allen F. The White Death: The Epic of the Soviet-Finnish Winter War (). Engle, Eloise and Paananen, Pauri. The Winter War: The Soviet Attack on Finland 1939–1940 (). Insight Guide: Finland (). Jakobson, Max. Finland in the New Europe (). Jutikkala, Eino; Pirinen, Kauko. A History of Finland (). Klinge, Matti. Let Us Be Finns: Essays on History (). Lavery, Jason. The History of Finland, Greenwood Histories of the Modern Nations, Greenwood Press, 2006 (, ). Lewis, Richard D. Finland: Cultural Lone Wolf (). Lonely Planet: Finland () Mann, Chris. Hitler's Arctic War: The German Campaigns in Norway, Finland, and the USSR 1940–1945 (). Rusama, Jaakko. Ecumenical Growth in Finland (). Singleton, Fred. A Short History of Finland (). Subrenat, Jean-Jacques. Listen, there's music from the forest; a brief presentation of the Kuhmo Chamber Music Festival (). Swallow, Deborah. Culture Shock! Finland: A Guide to Customs and Etiquette (). Trotter, William R. A Frozen Hell: The Russo-Finnish Winter War of 1939–1940 (). External links Finland. The World Factbook. Central Intelligence Agency. Finland profile from the BBC News Key Development Forecasts for Finland from International Futures Population in Finland 1750–2010 Appendix figure 2. The largest groups by native language 2001 and 2011 (Statistics Finland) Official statistical information about Finland from Findicator. Government This is Finland, the official English-language online portal (administered by the Finnish Ministry for Foreign Affairs) Finland (University of Colorado Boulder Libraries Government Publications) Maps Travel Official Travel Site of Finland Northern European countries Members of the Nordic Council Member states of the European Union Member states of the Union for the Mediterranean Current member states of the United Nations Post–Russian Empire states Republics States and territories established in 1917 Swedish-speaking countries and territories Fennoscandia Countries in Europe Christian states